Portfolio of Packaging and Container Stocks
The following table includes 11 major packaging and container stocks.
Portfolio Values
To inspect the performance of the Packaging and Container Stocks portfolio, see the chart below. Portfolio values are computed using monthly closes for stocks from Alpha Vantage.The 10 stocks included in the portfolio computations are: ATR, AVY, BALL, BERY, CCK, GPK, OI, PKG, SEE and SON. The current value of the portfolio assumes that $1,000.00 was invested in each stock at its closing monthly price for the first date shown on the portfolio value chart below. All prices are adjusted for splits and dividends. TUP was excluded from the portfolio computations because of insufficient price data.The current value of the $10,000 investment is $14,602. The percent return is 46.02%. The annualized return is 7.87%.
Portfolio Value Chart for Last 100 Daily Closes