Specialty Business Services
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SPIR vs BA
Revenue, margins, valuation, and 5-year total return — side by side.
Aerospace & Defense
SPIR vs BA — Key Financials
Market cap, revenue, margins, and valuation side-by-side.
| Company Snapshot | ||
|---|---|---|
| Industry | Specialty Business Services | Aerospace & Defense |
| Market Cap | $541.04B | $176.88B |
| Revenue (TTM) | $72M | $92.18B |
| Net Income (TTM) | $-25.02B | $2.27B |
| Gross Margin | 40.8% | 4.8% |
| Operating Margin | -121.4% | -5.9% |
| Forward P/E | 10.2x | 4835.8x |
| Total Debt | $8.76B | $54.43B |
| Cash & Equiv. | $24.81B | $10.92B |
SPIR vs BA — Long-Term Stock Performance
Price return indexed to 100 at period start. Dividends excluded.
| Stock | Nov 20 | May 26 | Return |
|---|---|---|---|
| Spire Global, Inc. (SPIR) | 100 | 20.9 | -79.1% |
| The Boeing Company (BA) | 100 | 106.5 | +6.5% |
Price return only. Dividends and distributions are not included.
Quick Verdict: SPIR vs BA
Each card shows where this stock fits in a portfolio — not just who wins on paper.
SPIR is the clearest fit if your priority is sleep-well-at-night.
- Lower volatility, beta 2.93, Low D/E 7.8%, current ratio 1.30x
- Lower P/E (10.2x vs 4835.8x)
- +77.8% vs BA's +20.3%
BA carries the broadest edge in this set and is the clearest fit for income & stability and growth exposure.
- Dividend streak 0 yrs, beta 0.97, yield 0.2%
- Rev growth 34.5%, EPS growth 113.5%, 3Y rev CAGR 10.3%
- 89.6% 10Y total return vs SPIR's -78.3%
See the full category breakdown
| Category | Winner | Why |
|---|---|---|
| Growth | 34.5% revenue growth vs SPIR's -35.2% | |
| Value | Lower P/E (10.2x vs 4835.8x) | |
| Quality / Margins | 2.5% margin vs SPIR's -349.6% | |
| Stability / Safety | Beta 0.97 vs SPIR's 2.93 | |
| Dividends | 0.2% yield; the other pay no meaningful dividend | |
| Momentum (1Y) | +77.8% vs BA's +20.3% | |
| Efficiency (ROA) | 1.4% ROA vs SPIR's -47.3%, ROIC -9.5% vs -0.1% |
SPIR vs BA — Revenue Breakdown by Segment
How each company's revenue is distributed across its business units
Segment breakdown not available.
SPIR vs BA — Financial Metrics
Side-by-side numbers across 2 stocks — who leads on profitability, valuation, growth, and risk.
Income & Cash Flow (Last 12 Months)
BA leads this category, winning 4 of 6 comparable metrics.
Income & Cash Flow (Last 12 Months)
BA is the larger business by revenue, generating $92.2B annually — 1288.3x SPIR's $72M. BA is the more profitable business, keeping 2.5% of every revenue dollar as net income compared to SPIR's -349.6%. On growth, BA holds the edge at +14.0% YoY revenue growth, suggesting stronger near-term business momentum.
| Metric | ||
|---|---|---|
| RevenueTrailing 12 months | $72M | $92.2B |
| EBITDAEarnings before interest/tax | -$74M | -$3.4B |
| Net IncomeAfter-tax profit | -$25.0B | $2.3B |
| Free Cash FlowCash after capex | -$16.2B | -$1.0B |
| Gross MarginGross profit ÷ Revenue | +40.8% | +4.8% |
| Operating MarginEBIT ÷ Revenue | -121.4% | -5.9% |
| Net MarginNet income ÷ Revenue | -349.6% | +2.5% |
| FCF MarginFCF ÷ Revenue | -227.0% | -1.1% |
| Rev. Growth (YoY)Latest quarter vs prior year | -26.9% | +14.0% |
| EPS Growth (YoY)Latest quarter vs prior year | +59.5% | +31.3% |
Valuation Metrics
SPIR leads this category, winning 2 of 3 comparable metrics.
Valuation Metrics
At 10.2x trailing earnings, SPIR trades at a 89% valuation discount to BA's 90.5x P/E.
| Metric | ||
|---|---|---|
| Market CapShares × price | $541.0B | $176.9B |
| Enterprise ValueMkt cap + debt − cash | $525.0B | $220.4B |
| Trailing P/EPrice ÷ TTM EPS | 10.22x | 90.48x |
| Forward P/EPrice ÷ next-FY EPS est. | — | 4835.78x |
| PEG RatioP/E ÷ EPS growth rate | — | — |
| EV / EBITDAEnterprise value multiple | — | — |
| Price / SalesMarket cap ÷ Revenue | 7561.39x | 1.98x |
| Price / BookPrice ÷ Book value/share | 4.66x | 31.34x |
| Price / FCFMarket cap ÷ FCF | — | — |
Profitability & Efficiency
SPIR leads this category, winning 6 of 9 comparable metrics.
Profitability & Efficiency
BA delivers a 2.9% return on equity — every $100 of shareholder capital generates $3 in annual profit, vs $-88 for SPIR. SPIR carries lower financial leverage with a 0.08x debt-to-equity ratio, signaling a more conservative balance sheet compared to BA's 9.97x. On the Piotroski fundamental quality scale (0–9), BA scores 6/9 vs SPIR's 5/9, reflecting solid financial health.
| Metric | ||
|---|---|---|
| ROE (TTM)Return on equity | -88.4% | +2.9% |
| ROA (TTM)Return on assets | -47.3% | +1.4% |
| ROICReturn on invested capital | -0.1% | -9.5% |
| ROCEReturn on capital employed | -0.1% | -9.1% |
| Piotroski ScoreFundamental quality 0–9 | 5 | 6 |
| Debt / EquityFinancial leverage | 0.08x | 9.97x |
| Net DebtTotal debt minus cash | -$16.1B | $43.5B |
| Cash & Equiv.Liquid assets | $24.8B | $10.9B |
| Total DebtShort + long-term debt | $8.8B | $54.4B |
| Interest CoverageEBIT ÷ Interest expense | 9.20x | 1.89x |
Total Returns (Dividends Reinvested)
SPIR leads this category, winning 4 of 6 comparable metrics.
Total Returns (Dividends Reinvested)
A $10,000 investment in BA five years ago would be worth $9,833 today (with dividends reinvested), compared to $2,078 for SPIR. Over the past 12 months, SPIR leads with a +77.8% total return vs BA's +20.3%. The 3-year compound annual growth rate (CAGR) favors SPIR at 49.0% vs BA's 4.2% — a key indicator of consistent wealth creation.
| Metric | ||
|---|---|---|
| YTD ReturnYear-to-date | +110.8% | -1.5% |
| 1-Year ReturnPast 12 months | +77.8% | +20.3% |
| 3-Year ReturnCumulative with dividends | +231.1% | +13.1% |
| 5-Year ReturnCumulative with dividends | -79.2% | -1.7% |
| 10-Year ReturnCumulative with dividends | -78.3% | +89.6% |
| CAGR (3Y)Annualised 3-year return | +49.0% | +4.2% |
Risk & Volatility
BA leads this category, winning 2 of 2 comparable metrics.
Risk & Volatility
BA is the less volatile stock with a 0.97 beta — it tends to amplify market swings less than SPIR's 2.93 beta. A beta below 1.0 means the stock typically moves less than the S&P 500. BA currently trades 88.2% from its 52-week high vs SPIR's 69.8% drawdown — a narrower gap to the peak suggests stronger recent price momentum.
| Metric | ||
|---|---|---|
| Beta (5Y)Sensitivity to S&P 500 | 2.93x | 0.97x |
| 52-Week HighHighest price in past year | $23.59 | $254.35 |
| 52-Week LowLowest price in past year | $6.60 | $176.77 |
| % of 52W HighCurrent price vs 52-week peak | +69.8% | +88.2% |
| RSI (14)Momentum oscillator 0–100 | 52.8 | 49.3 |
| Avg Volume (50D)Average daily shares traded | 1.5M | 6.4M |
Analyst Outlook
Insufficient data to determine a leader in this category.
Analyst Outlook
Wall Street rates SPIR as "Buy" and BA as "Buy". Consensus price targets imply 17.5% upside for BA (target: $264) vs 4.8% for SPIR (target: $17). BA is the only dividend payer here at 0.19% yield — a key consideration for income-focused portfolios.
| Metric | ||
|---|---|---|
| Analyst RatingConsensus buy/hold/sell | Buy | Buy |
| Price TargetConsensus 12-month target | $17.25 | $263.67 |
| # AnalystsCovering analysts | 12 | 54 |
| Dividend YieldAnnual dividend ÷ price | — | +0.2% |
| Dividend StreakConsecutive years of raises | — | 0 |
| Dividend / ShareAnnual DPS | — | $0.43 |
| Buyback YieldShare repurchases ÷ mkt cap | 0.0% | 0.0% |
SPIR leads in 3 of 6 categories (Valuation Metrics, Profitability & Efficiency). BA leads in 2 (Income & Cash Flow, Risk & Volatility).
SPIR vs BA: Frequently Asked Questions
10 questions · data-driven answers · updated daily
01Is SPIR or BA a better buy right now?
For growth investors, The Boeing Company (BA) is the stronger pick with 34.
5% revenue growth year-over-year, versus -35. 2% for Spire Global, Inc. (SPIR). Spire Global, Inc. (SPIR) offers the better valuation at 10. 2x trailing P/E, making it the more compelling value choice. Analysts rate Spire Global, Inc. (SPIR) a "Buy" — based on 12 analyst ratings — the highest consensus in this comparison. The "better buy" depends entirely on your goals: growth investors should weight revenue trajectory, value investors should weight P/E and PEG, and income investors should weight dividend yield and streak.
02Which has the better valuation — SPIR or BA?
On trailing P/E, Spire Global, Inc.
(SPIR) is the cheapest at 10. 2x versus The Boeing Company at 90. 5x.
03Which is the better long-term investment — SPIR or BA?
Over the past 5 years, The Boeing Company (BA) delivered a total return of -1.
7%, compared to -79. 2% for Spire Global, Inc. (SPIR). Over 10 years, the gap is even starker: BA returned +89. 6% versus SPIR's -78. 3%. Past returns do not guarantee future results, and the stock with the higher historical return may already have its best growth priced in.
04Which is safer — SPIR or BA?
By beta (market sensitivity over 5 years), The Boeing Company (BA) is the lower-risk stock at 0.
97β versus Spire Global, Inc. 's 2. 93β — meaning SPIR is approximately 203% more volatile than BA relative to the S&P 500. On balance sheet safety, Spire Global, Inc. (SPIR) carries a lower debt/equity ratio of 8% versus 10% for The Boeing Company — giving it more financial flexibility in a downturn.
05Which is growing faster — SPIR or BA?
By revenue growth (latest reported year), The Boeing Company (BA) is pulling ahead at 34.
5% versus -35. 2% for Spire Global, Inc. (SPIR). On earnings-per-share growth, the picture is similar: Spire Global, Inc. grew EPS 137. 8% year-over-year, compared to 113. 5% for The Boeing Company. Over a 3-year CAGR, BA leads at 10. 3% annualised revenue growth. Higher growth typically commands a higher valuation multiple — check whether the premium P/E or P/S is justified by the growth rate using the PEG ratio.
06Which has better profit margins — SPIR or BA?
Spire Global, Inc.
(SPIR) is the more profitable company, earning 71. 7% net margin versus 2. 5% for The Boeing Company — meaning it keeps 71. 7% of every revenue dollar as bottom-line profit. Operating margin tells a similar story: BA leads at -6. 1% versus -121. 4% for SPIR. At the gross margin level — before operating expenses — SPIR leads at 40. 8%, reflecting greater pricing power or product mix advantage. Stronger margins indicate durable pricing power, lower cost of revenue, or higher mix of software/services. They are one of the clearest signs of business quality.
07Is SPIR or BA more undervalued right now?
Analyst consensus price targets imply the most upside for BA: 17.
5% to $263. 67.
08Which pays a better dividend — SPIR or BA?
In this comparison, BA (0.
2% yield) pays a dividend. SPIR does not pay a meaningful dividend and should not be held primarily for income.
09Is SPIR or BA better for a retirement portfolio?
For long-horizon retirement investors, The Boeing Company (BA) is the stronger choice — it scores higher on the combination of lower volatility, dividend reliability, and long-term compounding (low volatility (β 0.
97)). Spire Global, Inc. (SPIR) carries a higher beta of 2. 93 — meaning larger drawdowns in market downturns, which matters significantly when you cannot wait years for a recovery. Both have compounded well over 10 years (BA: +89. 6%, SPIR: -78. 3%), confirming both are viable long-term holds — but the lower-volatility option typically results in less emotional selling during corrections. Retirement portfolios generally favour predictability over maximum returns. Consult a financial advisor before making allocation decisions.
10What are the main differences between SPIR and BA?
Both stocks operate in the Industrials sector, making this a peer-level intra-sector comparison — the same macro tailwinds and headwinds will affect both.
In terms of investment character: SPIR is a large-cap deep-value stock; BA is a mid-cap high-growth stock. These fundamental differences mean investors should not choose between them on a single metric — the "better stock" depends entirely on which of these characteristics aligns with your investment strategy.
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