WallStSmart
GEF-

Greif Inc

NYSE: GEF-B · CONSUMER CYCLICAL · PACKAGING & CONTAINERS

$109.36
+0.34% today

Updated 2026-07-30

Market cap
$3.65B
P/E ratio
26.54
P/S ratio
0.86x
EPS (TTM)
$3.63
Dividend yield
2.52%
52W range
$56 – $97
Volume
0.1M

Greif Inc (GEF-B) Earnings

Quarterly earnings history, analyst estimates, and stock price reaction.

EPS beat streak
5 of 8
Last 8 quarters
Avg EPS surprise
+10.8%
Last 4 quarters
Revenue YoY growth
Most recent quarter
EPS YoY growth
+65.1%
Most recent quarter

Earnings surprise history (last 12 quarters)

Beat estimate Missed estimate

Quarterly EPS and revenue trend

Quarterly revenue EPS (diluted)

How the stock reacts to earnings

Avg 1-day reaction
-1.6%
Last 3 reports
Positive reaction rate
33%
1 of 3 quarters
Largest single-day move
-4.8%
2026-04-28
Report dateEPS actualSurpriseClose beforeClose after1-day reaction
2026-06-10$1.64+36.8%$82.30$83.28+1.2%
2026-04-28$1.64+12.3%$83.36$79.33-4.8%
2026-01-27$0.69-33.7%$83.55$82.52-1.2%

Quarterly earnings history

Fiscal quarter endingEPS estimateEPS actualSurpriseRevenueYoY revenue
2026-04-30$1.20$1.64+36.8%
2026-01-31$1.46$1.64+12.3%$1.07B-15.2%
2025-10-31$1.04$0.69-33.7%$994.80M+37.2%
2025-07-31$1.30$1.66+27.7%$146.90M-87.4%
2025-04-30$1.12$0.99-11.2%$1.39B+58.0%
2025-01-31$1.09$0.22-79.8%$1.27B+5.0%
2024-10-31$1.60$1.64+2.5%$724.90M-44.6%
2024-07-31$1.14$2.25+97.3%$1.16B
2024-04-30$1.03$1.15+11.7%$877.20M
2024-01-31$0.63$1.75+177.7%$1.21B
2023-10-31$1.56$1.56+0.0%$1.31B

Frequently asked questions

Has Greif Inc beaten earnings estimates?

Greif Inc has beaten Wall Street EPS estimates in 5 of its last 8 quarterly reports, averaging a +10.8% surprise over the last 4. A consistent beat record suggests management guides conservatively and the business has predictable momentum, which tends to support the stock through earnings season.

How does GEF-B stock react to earnings?

GEF-B has moved an average of -1.6% the day after earnings over its last 3 reports, finishing higher after 1 of them. Next-day moves show how the market digests results in the short term, and repeated dips on strong reports usually mean expectations were already priced in.