BA (Boeing Company) is a global aerospace and defense company headquartered in Arlington, Virginia, United States. It designs, develops, manufactures, sells, services, and supports commercial jetliners, military aircraft, satellites, missile defense systems, human space flight and launch systems, and other related products and services.
The company operates through four segments: Commercial Airplanes, Defense, Space & Security, Global Services, and Boeing Capital. The Commercial Airplanes segment focuses on the development, production, and marketing of commercial jet aircraft and provides fleet support services. The Defense, Space & Security segment is involved in the research, development, production, and modification of manned and unmanned military aircraft, weapons systems, and strategic defense and intelligence systems. This segment also works on satellite systems and space exploration. The Global Services segment offers various products and services, including supply chain management, engineering, maintenance and modifications, training systems, and digital services to commercial and defense customers. Boeing Capital provides financing services and manages financing exposure for a portfolio of equipment.
As of the fiscal year 2022, Boeing had approximately 156,000 full-time employees. The company's leadership includes executives such as Mr. David L. Calhoun (President, CEO & Director), Mr. Brian J. West (Exec. VP of Fin. & CFO), Mr. Brett C. Gerry (Chief Legal Officer & Exec. VP of Global Compliance), Mr. Stanley A. Deal (Exec. VP and Pres & CEO of Boeing Commercial Airplanes), and Mr. Theodore Colbert III (Exec. VP, Pres and CEO of Boeing Defense, Space & Security).
Boeing faces certain risks related to governance, board, compensation, and shareholder rights. However, it remains a prominent player in the aerospace and defense industry, with a strong market presence. The company's stock is listed on the New York Stock Exchange (NYSE) under the symbol "BA."
As of the last trading day, the stock had a closing price of $206.87. It has a 52-week range between $113.02 and $221.33. The company has a market capitalization of $124.42 billion. The financial indicators for Boeing include negative profit margins (-0.05855), a forward price-to-earnings ratio (P/E) of 38.73, and a dividend yield of 0.0%.
Analysts have given a mean target price of $235.43 for the stock, with a high estimate of $291.0 and a low estimate of $180.0. The overall recommendation is a "buy," based on the consensus of 24 analyst opinions.
Boeing's stock experienced a significant decline in 2018 due to three key factors: the 737 MAX groundings, production issues with the 787 Dreamliner, and the impact of the COVID-19 pandemic. These factors collectively contributed to a substantial decrease in Boeing's stock price. Since reaching its peak in 2018, the company's stock price has fallen by over 50%.
Despite these challenges, there have been signs of recovery for Boeing's stock price. Recently, the stock has shown resilience and has been gradually rebounding, reaching a level close to $200. This upward trend may be attributed to several factors, including the gradual return of air travel, progress in addressing the 737 MAX issues, and the overall improvement in market conditions.
Here are the financial measures for BA (Boeing Company):
1. EPS (Earnings Per Share): The EPS for Boeing is reported as -7.07, indicating a negative value.
2. Trailing Price to Earnings Ratio: The trailing P/E ratio is calculated as 15.9758. This ratio measures the price investors are willing to pay for each dollar of earnings generated by the company.
3. Price to Book Ratio: The information for the price to book ratio is not provided.
4. Dividend Yield (%): The dividend yield for Boeing is reported as 1.58%. This indicates the percentage of the stock price that the company pays out in dividends annually.
5. Return On Equity (%): Boeing has a return on equity of 29.896%. This measure reflects the profitability of the company in relation to shareholders' equity.
6. Debt to Equity Ratio: The debt to equity ratio is calculated as 165.716. This ratio indicates the proportion of debt financing compared to equity financing used by the company.
7. Free Cash Flow: Boeing's free cash flow is reported as $7,450.38 million. This represents the cash generated by the company's operations that is available for distribution to investors or for reinvestment.
8. Market Capitalization: The market capitalization of Boeing is reported as $124,422 million. This figure represents the total market value of the company's outstanding shares.
9. Revenue Growth (%): Boeing has achieved a revenue growth rate of 28.1%. This percentage indicates the increase in revenue compared to the previous period.
10. Operating Margin (%): The operating margin for Boeing is reported as 0.862%. This margin reflects the profitability of the company's core operations, calculated as operating income divided by revenue.
11. Forward Price to Earnings Ratio: The forward P/E ratio is calculated as 38.7303. This ratio is based on the projected earnings of the company and is used to assess its valuation.
Please note that these financial measures are based on the available information and may be subject to change.
Financial Measure Percentile Stock
0 EPS NA
1 P/E Ratio NA
2 P/B Ratio NA
3 Dividend Yield (%) NA
4 Return On Equity NA
5 Debt to Equity NA
6 Free cash Flow (in million) 60.000000
7 Market Cap (in million) 43.000000
8 Revenue Growth 96.907216
9 Operating Margin 2.061856
10 Total 201.969072
In comparing the financial measures of BA (Boeing Company) to the financial measures of S&P 100 stocks, the following percentiles have been identified:
1. EPS (Earnings Per Share): BA's EPS falls within the 0th percentile compared to the S&P 100 stocks, indicating that it is lower than all other companies in the index.
2. P/E Ratio (Price to Earnings Ratio): The P/E ratio of BA is also in the 0th percentile, suggesting that it has a lower P/E ratio compared to the S&P 100 stocks.
3. P/B Ratio (Price to Book Ratio): BA's P/B ratio falls within the 0th percentile, indicating a lower ratio compared to the S&P 100 stocks.
4. Dividend Yield (%): BA's dividend yield is in the 0th percentile, suggesting a lower yield compared to the S&P 100 stocks.
5. Return On Equity: BA's return on equity falls within the 0th percentile, indicating a lower performance compared to the S&P 100 stocks.
6. Debt to Equity Ratio: BA's debt to equity ratio is in the 0th percentile, suggesting a lower ratio compared to the S&P 100 stocks.
7. Free Cash Flow: BA's free cash flow percentile is 60%, indicating that it is higher than 60% of the S&P 100 stocks.
8. Market Capitalization: BA's market capitalization percentile is 43%, indicating that it is higher than 43% of the S&P 100 stocks.
9. Revenue Growth: BA's revenue growth percentile is 96.91%, indicating that it has a higher revenue growth rate compared to 96.91% of the S&P 100 stocks.
10. Operating Margin: BA's operating margin percentile is 2.06%, suggesting a lower operating margin compared to 97.94% of the S&P 100 stocks.
Overall, BA's financial measures vary across different metrics, with some falling in the lower percentiles compared to the S&P 100 stocks, while others show better performance. It is important to consider these percentiles in the context of the company's specific industry and market conditions.
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