Acco Brands Corp (ACCO) Stock Price & Analysis
Acco Brands Corp (ACCO) rose 2.31% to USD 3.98 as of June 10, 2026 at 01:06 UTC, according to Nexqual real-time market data.
ACCO last closed at USD 3.89; the session ranged USD 3.9–4.03 on volume of 531,730 shares. Market capitalization is —, with a 52-week range of USD 2.81–4.3 (NYQ). Source: Nexqual, June 10, 2026 at 01:06 UTC.
Key Statistics (as of June 10, 2026 at 01:06 UTC)
| Price | USD 3.98 |
|---|---|
| Change | ▲ 2.31% (up) |
| Previous Close | USD 3.89 |
| Open | USD 3.91 |
| Day Range | USD 3.9 – 4.03 |
| 52-Week Range | USD 2.81 – 4.3 |
| Volume | 531,730 shares |
| Market Cap | — |
| Exchange | NYQ |
Technical Analysis (ACCO)
Nexqual's technical model rates ACCO "STRONG BUY" based on 5 bullish and 0 bearish signals across 124 daily candles, as of June 10, 2026 at 01:06 UTC.
| Overall Signal | STRONG BUY |
|---|---|
| RSI (14) | 61.43 (neutral) |
| vs SMA50 | Above (USD 3.55) |
| MACD | 0.07 (positive) |
Analyst Ratings (ACCO)
Wall Street analysts rate ACCO "None" based on 3 analysts, with a mean price target of USD 7.67 (range USD 5–9), per Nexqual as of June 10, 2026 at 01:06 UTC.
| Consensus Rating | None |
|---|---|
| Analyst Count | 3 |
| Mean Target | USD 7.67 |
| High Target | USD 9 |
| Low Target | USD 5 |
| Buy / Hold / Sell | 2 / 0 / 0 |
Earnings (ACCO)
| Next Earnings Date | 2026-07-30 |
|---|---|
| EPS Estimate | USD 0.27 |
| Revenue Estimate | $402.53M |
Recent Earnings History
| Quarter | Actual vs Estimate |
|---|---|
| 2026-03-31 | USD 0.02 vs est -0.05 ▲ beat |
| 2025-12-31 | USD 0.38 vs est 0.38 ▲ beat |
| 2025-09-30 | USD 0.21 vs est 0.22 ▼ miss |
| 2025-06-30 | USD 0.28 vs est 0.29 ▼ miss |
Source: Nexqual, June 10, 2026 at 01:06 UTC.
Financials & Fundamentals (ACCO)
| Total Revenue | $1.55B |
|---|---|
| Revenue Growth (YoY) | +8.30% |
| Gross Margin | +32.70% |
| Operating Margin | +0.12% |
| Profit Margin | +4.76% |
| ROE | +11.49% |
| Debt / Equity | 143.88 |
| Current Ratio | 1.77 |
| Total Cash | $118.90M |
| Total Debt | $978.70M |
| Free Cash Flow | $48.46M |
Source: Nexqual, June 10, 2026 at 01:06 UTC.
Financial Health Score (ACCO)
Nexqual rates Acco Brands Corp's overall financial health "Mixed" across five dimensions, as of June 10, 2026 at 01:06 UTC.
| Growth | Weak — Revenue -8% YoY (annual), declining |
|---|---|
| Profitability | Mixed — Gross margin 33%, operating 0% |
| Balance Sheet | Mixed — $119M cash vs $979M debt |
| Cash Flow | Mixed — FCF $48M, slim 3.2% margin |
| Efficiency | Mixed — ROE 11%, ROA 3.0% |
Ownership (ACCO)
| Insider Ownership | +2.62% |
|---|---|
| Institutional Ownership | +83.28% |
| Float | 88.03M |
| Short % of Float | +6.20% |
Source: Nexqual, June 10, 2026 at 01:06 UTC.
Leadership (ACCO)
Acco Brands Corp is led by Thomas W. Tedford (age 54), President, CEO & Director, per Nexqual as of June 10, 2026 at 01:06 UTC.
| President, CEO & Director | Thomas W. Tedford (age 54) |
|---|---|
| Executive VP & CFO | Deborah A. O'Connor (age 62) |
| Senior Vice President of Global Operations & Supply Chain | Gregory J. McCormack (age 61) |
| Senior Director of Investor Relations | Christopher Paul McGinnis |
| Senior Vice President of Latin America | Rubens Passos |
Major Backers & Investors (ACCO)
Notable institutional backers of Acco Brands Corp include Allspring Global Investments Holdings, LLC, Capital Management Corporation, American Century Companies Inc, according to Nexqual as of June 10, 2026 at 01:06 UTC.
Active Investors
| Investor | Stake |
|---|---|
| Allspring Global Investments Holdings, LLC | 8.37% |
| Capital Management Corporation | 7.57% |
| American Century Companies Inc | 7.22% |
| ALLSPRING FUNDS TRUST-Allspring Special Small Cap Value Fund | 5.93% |
| Goldman Sachs | 3.36% |
| LSV Asset Management | 3.19% |
| Charles Schwab Investment Management, Inc. | 3.14% |
Index Funds (Passive)
| Fund | Stake |
|---|---|
| BlackRock | 10.51% |
| Vanguard Group | 8.39% |
| Dimensional Fund Advisors | 4.81% |
Source: Nexqual, June 10, 2026 at 01:06 UTC.
From Acco Brands Corp's Latest SEC 10-K Filing (filed 2026-03-09)
Key Strengths & Strategy (as disclosed to the SEC)
- We also believe that our experience and skill in managing complex assortments and large seasonal demand is a competitive advantage, as are our strong relationships with technology and content providers in our technology accessories categories.   Product Development   We seek opportunities to invest in new products and adjacencies.
- We work with third-party vendors, such as Nielsen, Circana, GfK SE, NEWZOO and Kantar Group, to capture and analyze consumer buying habits and product trends.   Supply Chain   We have built a customer-focused business model with a flexible supply chain to ensure that we are able to supply our customers with value-added, high-quality products at an attractive price.
- Using a combination of our own manufacturing and third-party sourcing also enables us to reduce costs and effectively manage our production assets by lowering capital investment and working capital requirements.
- In particular, the success and future growth of our technology accessories business depends on its ability to license the right to use the trademarks and other intellectual property and/or receive certifications as to the compatibility of our technology products with third parties.
Source: SEC EDGAR 10-K, official filing. Curated by Nexqual.
Peers & Related Stocks
| Symbol | Name | Price | Change |
|---|---|---|---|
| AAT | American Assets Trust, Inc. | USD 24.42 | ▲ 3.21% |
| AIN | Albany International Corporatio | USD 69.52 | ▲ 2.63% |
| CATO | Cato Corporation (The) | USD 3.23 | ▲ 1.57% |
| ALG | Alamo Group, Inc. | USD 152.96 | ▲ 2.4% |
| TILE | Interface, Inc. | USD 31.35 | ▲ 4.01% |
Data source: Nexqual — real-time market data, technical indicators, analyst consensus, earnings, SEC EDGAR filings. Last updated: June 10, 2026 at 01:06 UTC. This page is informational and not investment advice.