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Finance

Live Earnings: Crown Holdings 2nd Quarter Analysis

Last updated: July 21, 2025 5:40 pm
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Live Earnings: Crown Holdings 2nd Quarter Analysis
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Contents
What to Expect When Crown Holdings Reports TonightKey Themes Wall Street Will Be Watching ForGet Ready To Retire (Sponsored)

Crown Holdings, Inc. (NYSE: CCK) reports shortly after the market closes and we’ll be providing live earnings analysis in this article. Simply leave this page open and new updates will push once their earnings hit the wires.

Shares are up 22% over the past 6 months but have been flat the 30 days leading up to today’s earnings with analyst ratings including maintains at Hold (Truist Securities), Equal-Weight (Wells Fargo), Outperform (Mizuho), Buy (B of A Securities, UBS), and a downgrade from Outperform to Neutral (Baird).

What to Expect When Crown Holdings Reports Tonight

Here’s the key figures that Wall Street expects from Crown Holdings tonight (based on consensus estimates for Q2 2025):

  • Revenue: $3.1 billion

  • EPS: $1.85

And full-year estimates are currently set at:

  • 2025 Revenue: $12.06 billion

  • 2025 EPS: $7.05

Key Themes Wall Street Will Be Watching For

Of course, beyond the headline revenue and EPS figures, Wall Street will be watching:

  • Impact of Tariffs and Macro Uncertainty: In the Q1 2025 earnings call, management highlighted potential exposure below $30 million from tariffs (below $10 million direct, below $20 million indirect, mainly in transit packaging). With volatile trade tensions, analysts will seek updates on consumer/industrial demand slowdowns, especially in fragile economies like Mexico and Southeast Asia.

  • Segment Performance and Volume Trends: Q1 saw strong beverage can volumes (up 2% in North America, 11% in Brazil, 5% in Europe) and 16% growth in North American food cans (driven by pet food and vegetables). Watch for confirmation of a “strong summer selling season,” substrate shifts in Europe, and manufacturing efficiencies boosting margins.

  • Cash Flow and Capital Allocation: Q1 generated positive free cash flow, with $203 million in share repurchases. Guidance projects $800 million full-year adjusted free cash flow after $450 million CapEx, targeting 2.5x net leverage by year-end. Analysts will look for updates on buybacks (~$300 million total expected) and any footprint adjustments amid tight supply in key markets like North America and Europe.

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The post Live Earnings: Crown Holdings 2nd Quarter Analysis appeared first on 24/7 Wall St..

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