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Howmet Aerospace Inc. (HWM) 10-Year Financial Performance & Capital Metrics

HWM • • Industrial / General
IndustrialsIndustrial MachinerySpecialized Industrial ComponentsAerospace & Defense Components
AboutHowmet Aerospace Inc. provides advanced engineered solutions for the aerospace and transportation industries in the United States, Japan, France, Germany, the United Kingdom, Mexico, Italy, Canada, Poland, China, and internationally. It operates through four segments: Engine Products, Fastening Systems, Engineered Structures, and Forged Wheels. The Engine Products segment offers airfoils and seamless rolled rings primarily for aircraft engines and industrial gas turbines; and rotating parts, as well as structural parts. The Fastening Systems segment produces aerospace fastening systems, as well as commercial transportation, industrial, and other fasteners. The Engineered Structures segment provides titanium ingots and mill products for aerospace and defense applications; and aluminum and nickel forgings, and machined components and assemblies. The Forged Wheels segment offers forged aluminum wheels and related products for heavy-duty trucks and commercial transportation markets. The company was formerly known as Arconic Inc. The company was founded in 1888 and is based in Pittsburgh, Pennsylvania.Show more
  • Revenue $7.43B +11.9%
  • EBITDA $1.95B +28.5%
  • Net Income $1.16B +51.0%
  • EPS (Diluted) 2.81 +53.6%
  • Gross Margin 27.62% +13.6%
  • EBITDA Margin 26.23% +14.8%
  • Operating Margin 22.5% +20.0%
  • Net Margin 15.55% +34.9%
  • ROE 26.89% +34.2%
  • ROIC 17.03% +30.9%
  • Debt/Equity 0.76 -19.8%
  • Interest Coverage 9.19 +60.9%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Excellent 3Y average ROE of 20.0%
  • ✓Strong 5Y profit CAGR of 19.7%
  • ✓Strong Piotroski F-Score: 9/9
  • ✓Trading near 52-week high

✗Weaknesses

  • ✗Expensive at 19.8x book value

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-5.1%
5Y0.92%
3Y14.33%
TTM9.7%

Profit (Net Income) CAGR

10Y15.73%
5Y19.7%
3Y64.81%
TTM34.63%

EPS CAGR

10Y17.5%
5Y22.47%
3Y68.25%
TTM35.88%

ROCE

10Y Avg9.44%
5Y Avg12.3%
3Y Avg14.98%
Latest18.98%

Peer Comparison

Aerospace & Defense Components
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
HWMHowmet Aerospace Inc.88.41B219.6478.1611.9%18.18%28.19%1.11%0.76
SXIStandex International Corporation2.93B241.8252.129.64%6.29%7.16%1.41%0.82
CRCrane Company11.79B204.7340.5414.45%16.13%18.59%2%0.19
AMEAMETEK, Inc.48.74B211.7335.705.22%20.5%13.95%3.49%0.24
TAYDTaylor Devices, Inc.226.96M71.9825.083.84%20.75%14.75%2.15%
LXFRLuxfer Holdings PLC393.34M14.7221.33-3.23%3.6%6.17%10.37%0.27
PKOHPark-Ohio Holdings Corp.331.3M23.007.21-0.21%1.48%6.2%1.98

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+12.39B12.39B12.96B14.02B7.1B5.26B4.97B5.66B6.64B7.43B
Revenue Growth %-0.01%0%0.05%0.08%-0.49%-0.26%-0.05%0.14%0.17%0.12%
Cost of Goods Sold+10.62B10.3B10.77B11.97B5.48B4.12B3.84B4.31B5.03B5.38B
COGS % of Revenue0.86%0.83%0.83%0.85%0.77%0.78%0.77%0.76%0.76%0.72%
Gross Profit+1.77B2.1B2.19B2.05B1.61B1.14B1.13B1.35B1.61B2.05B
Gross Margin %0.14%0.17%0.17%0.15%0.23%0.22%0.23%0.24%0.24%0.28%
Gross Profit Growth %-0.19%0.18%0.05%-0.06%-0.21%-0.29%-0.01%0.19%0.19%0.27%
Operating Expenses+910M881M824M707M428M294M268M320M369M380M
OpEx % of Revenue0.07%0.07%0.06%0.05%0.06%0.06%0.05%0.06%0.06%0.05%
Selling, General & Admin741M749M715M604M400M277M251M288M333M362M
SG&A % of Revenue0.06%0.06%0.06%0.04%0.06%0.05%0.05%0.05%0.05%0.05%
Research & Development169M132M109M103M28M17M17M32M36M33M
R&D % of Revenue0.01%0.01%0.01%0.01%0%0%0%0.01%0.01%0%
Other Operating Expenses000000000-15M
Operating Income+862M1.21B1.37B1.35B1.19B849M866M1.03B1.25B1.67B
Operating Margin %0.07%0.1%0.11%0.1%0.17%0.16%0.17%0.18%0.19%0.23%
Operating Income Growth %-0%0.41%0.13%-0.02%-0.12%-0.28%0.02%0.19%0.2%0.34%
EBITDA+1.37B1.75B1.92B1.92B1.48B1.13B1.14B1.3B1.52B1.95B
EBITDA Margin %0.11%0.14%0.15%0.14%0.21%0.21%0.23%0.23%0.23%0.26%
EBITDA Growth %-0.39%0.28%0.1%0%-0.23%-0.24%0.01%0.14%0.17%0.28%
D&A (Non-Cash Add-back)508M535M551M576M295M279M270M265M272M277M
EBIT657M922M966M1.24B548M552M583M835M1.19B1.56B
Net Interest Income+-458M-492M-477M-353M-314M-376M-257M-223M-195M-162M
Interest Income16M16M19M23M24M5M2M6M23M20M
Interest Expense474M508M496M376M338M381M259M229M218M182M
Other Income/Expense-679M-800M-897M-478M-977M-678M-542M-428M-270M-289M
Pretax Income+183M414M470M868M210M171M324M606M975M1.38B
Pretax Margin %0.01%0.03%0.04%0.06%0.03%0.03%0.07%0.11%0.15%0.19%
Income Tax+339M1.48B544M226M84M-40M66M137M210M228M
Effective Tax Rate %-1.76%-2.27%-0.16%0.74%2.24%1.23%0.8%0.77%0.78%0.84%
Net Income+-322M-941M-74M642M470M211M258M469M765M1.16B
Net Margin %-0.03%-0.08%-0.01%0.05%0.07%0.04%0.05%0.08%0.12%0.16%
Net Income Growth %-2.2%-1.92%0.92%9.68%-0.27%-0.55%0.22%0.82%0.63%0.51%
Net Income (Continuing)-156M-1.06B-74M642M126M211M258M469M765M1.16B
Discontinued Operations-165M121M00344M00000
Minority Interest2.08B26M14M12M14M00000
EPS (Diluted)+-0.73-2.13-0.161.281.020.480.591.111.832.81
EPS Growth %-2.3%-1.92%0.92%9%-0.2%-0.53%0.23%0.88%0.65%0.54%
EPS (Basic)-0.73-2.55-0.151.351.080.480.601.121.852.83
Diluted Shares Outstanding438.52M438M451M503M463M439M435M421M416M410M
Basic Shares Outstanding438.52M364.42M481.67M477.12M434.4M435.13M429.83M416.04M412.17M408M
Dividend Payout Ratio---0.19%0.12%0.05%0.07%0.09%0.09%0.09%

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+7.95B5.89B6.38B6.58B5.84B3.67B2.74B3.14B3.32B3.36B
Cash & Short-Term Investments1.36B1.86B2.15B2.28B1.58B1.61B720M791M610M564M
Cash Only1.36B1.86B2.15B2.28B1.58B1.61B720M791M610M564M
Short-Term Investments0000000000
Accounts Receivable1.35B1.45B1.37B1.5B932M357M420M537M692M709M
Days Sales Outstanding39.8842.7338.6938.9947.9324.7830.8334.6138.0434.83
Inventory2.28B2.25B2.48B2.49B1.61B1.49B1.4B1.61B1.76B1.84B
Days Inventory Outstanding78.579.8584.0475.99106.98131.95133.33136.29128.18124.88
Other Current Assets2.56B491M001.44B00206M249M249M
Total Non-Current Assets+28.52B14.15B12.34B12.11B11.74B7.77B7.48B7.11B7.11B7.16B
Property, Plant & Equipment5.42B5.49B5.59B5.7B5.46B2.59B2.47B2.33B2.46B2.54B
Fixed Asset Turnover2.28x2.26x2.32x2.46x1.30x2.03x2.02x2.43x2.70x2.92x
Goodwill5.25B5.15B4.54B4.5B4.49B4.1B4.07B4.01B4.04B4.01B
Intangible Assets1.1B988M987M919M658M571M549M521M505M475M
Long-Term Investments193M1.02B00000000
Other Non-Current Assets15.24B1.24B481M416M514M234M215M192M70M96M
Total Assets+36.48B20.04B18.72B18.69B17.58B11.45B10.22B10.26B10.43B10.52B
Asset Turnover0.34x0.62x0.69x0.75x0.40x0.46x0.49x0.55x0.64x0.71x
Asset Growth %-0.02%-0.45%-0.07%-0%-0.06%-0.35%-0.11%0%0.02%0.01%
Total Current Liabilities+5.21B2.75B2.82B3.52B4.13B1.66B1.25B1.48B1.78B1.55B
Accounts Payable1.51B1.74B1.84B2.13B976M599M732M962M982M948M
Days Payables Outstanding51.961.8162.3264.9264.9753.1269.6181.4971.3264.34
Short-Term Debt41M40M38M434M1.03B376M5M0206M6M
Deferred Revenue (Current)0000000000
Other Current Liabilities3.39B727M748M726M1.87B456M348M365M431M439M
Current Ratio1.53x2.14x2.26x1.87x1.42x2.21x2.18x2.12x1.86x2.17x
Quick Ratio1.09x1.32x1.38x1.16x1.03x1.32x1.07x1.04x0.87x0.98x
Cash Conversion Cycle66.4860.7860.4150.0689.93103.6194.5589.4294.995.37
Total Non-Current Liabilities+17.14B12.15B10.97B9.59B8.83B6.21B5.46B5.17B4.61B4.42B
Long-Term Debt8.79B8.04B6.81B5.9B4.91B4.7B4.23B4.16B3.5B3.31B
Capital Lease Obligations0000194M100M81M83M97M119M
Deferred Tax Liabilities0000000000
Other Non-Current Liabilities8.35B4.1B4.16B3.69B3.73B1.41B1.15B927M1.01B988M
Total Liabilities22.35B14.88B13.79B13.11B12.96B7.87B6.71B6.65B6.39B5.96B
Total Debt+8.83B8.08B6.84B6.33B6.21B5.21B4.35B4.28B3.83B3.47B
Net Debt7.46B6.22B4.69B4.05B4.63B3.6B3.63B3.49B3.23B2.91B
Debt / Equity0.62x1.57x1.39x1.13x1.34x1.46x1.24x1.19x0.95x0.76x
Debt / EBITDA6.44x4.62x3.57x3.29x4.19x4.62x3.83x3.29x2.53x1.78x
Net Debt / EBITDA5.45x3.56x2.45x2.11x3.12x3.19x3.19x2.68x2.13x1.49x
Interest Coverage1.82x2.39x2.76x3.58x3.51x2.23x3.34x4.52x5.71x9.19x
Total Equity+14.13B5.16B4.92B5.58B4.62B3.58B3.51B3.6B4.04B4.55B
Equity Growth %0.15%-0.63%-0.05%0.13%-0.17%-0.23%-0.02%0.03%0.12%0.13%
Book Value per Share32.2211.7910.9211.109.988.158.068.559.7011.11
Total Shareholders' Equity12.05B5.14B4.91B5.57B4.61B3.58B3.51B3.6B4.04B4.55B
Common Stock1.39B438M481M483M433M433M422M412M410M405M
Retained Earnings8.83B-1.23B-1.25B-358M129M364M603M1.03B1.72B2.77B
Treasury Stock-2.83B000000000
Accumulated OCI-5.43B-2.57B-2.64B-2.93B-3.33B-1.94B-1.86B-1.84B-1.83B-1.88B
Minority Interest2.08B26M14M12M14M00000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+1.58B873M701M217M461M9M449M733M901M1.3B
Operating CF Margin %0.13%0.07%0.05%0.02%0.06%0%0.09%0.13%0.14%0.17%
Operating CF Growth %-0.05%-0.45%-0.2%-0.69%1.12%-0.98%48.89%0.63%0.23%0.44%
Net Income-197M-878M-74M642M470M261M258M469M765M1.16B
Depreciation & Amortization1.86B1.32B974M576M295M280M270M265M272M277M
Stock-Based Compensation92M86M67M50M69M46M41M54M50M63M
Deferred Taxes34M1.13B434M31M-19M2M38M79M108M55M
Other Non-Cash Items693M27M-84M-74M774M82M187M69M51M93M
Working Capital Changes-905M-812M-616M-1.01B-1.13B-662M-345M-203M-345M-345M
Change in Receivables-776M-1.11B-463M-1.38B-1.07B-453M-508M-161M-189M-57M
Change in Inventory-64M-29M-192M-74M-3M74M60M-234M-142M-106M
Change in Payables-90M232M62M339M-56M-381M144M246M-7M-49M
Cash from Investing+-1.06B-165M540M565M528M271M107M-135M-215M-316M
Capital Expenditures-1.18B-1.13B-596M-768M-586M-267M-199M-193M-219M-321M
CapEx % of Revenue0.1%0.09%0.05%0.05%0.08%0.05%0.04%0.03%0.03%0.04%
Acquisitions----------
Investments----------
Other Investing117M722M-348M1.32B1.04B538M300M02M10M
Cash from Financing+-441M-757M-963M-649M-1.57B-369M-1.44B-526M-868M-1.03B
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-223M-228M-162M-119M-57M-11M-19M-44M-73M-109M
Share Repurchases----------
Other Financing-98M239M-31M-36M-13M-627M-148M-8M-69M-52M
Net Change in Cash----------
Free Cash Flow+402M-252M105M-551M-180M-258M250M540M682M977M
FCF Margin %0.03%-0.02%0.01%-0.04%-0.03%-0.05%0.05%0.1%0.1%0.13%
FCF Growth %-0.12%-1.63%1.42%-6.25%0.67%-0.43%1.97%1.16%0.26%0.43%
FCF per Share0.92-0.580.23-1.10-0.39-0.590.571.281.642.38
FCF Conversion (FCF/Net Income)-4.91x-0.93x-9.47x0.34x0.98x0.04x1.74x1.56x1.18x1.12x
Interest Paid0000000000
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-2.44%-9.75%-1.47%12.22%9.21%5.15%7.28%13.19%20.03%26.89%
Return on Invested Capital (ROIC)3.17%5.52%9.76%10.48%9.43%7.75%9.07%10.91%13.01%17.03%
Gross Margin14.3%16.9%16.9%14.64%22.75%21.73%22.81%23.91%24.31%27.62%
Net Margin-2.6%-7.59%-0.57%4.58%6.62%4.01%5.19%8.28%11.52%15.55%
Debt / Equity0.62x1.57x1.39x1.13x1.34x1.46x1.24x1.19x0.95x0.76x
Interest Coverage1.82x2.39x2.76x3.58x3.51x2.23x3.34x4.52x5.71x9.19x
FCF Conversion-4.91x-0.93x-9.47x0.34x0.98x0.04x1.74x1.56x1.18x1.12x
Revenue Growth-1.2%0.01%4.59%8.18%-49.38%-25.91%-5.46%13.9%17.25%11.9%

Revenue by Segment

2015201620172018201920202021202220232024
Engine Products----3.45B2.41B2.29B2.7B3.28B3.74B
Engine Products Growth------30.16%-5.18%18.20%21.35%14.12%
Fastening Systems----1.56B1.25B1.04B1.12B1.35B1.58B
Fastening Systems Growth------20.24%-16.14%6.99%20.77%16.90%
Structure Systems-----934M731M796M881M1.07B
Structure Systems Growth-------21.73%8.89%10.68%22.02%
Wheel Systems----969M679M921M1.06B1.15B-
Wheel Systems Growth------29.93%35.64%14.88%8.41%-
Engineered Products And Solutions5.34B5.73B5.93B6.32B------
Engineered Products And Solutions Growth-7.23%3.61%6.42%------

Revenue by Geography

2015201620172018201920202021202220232024
UNITED STATES12.43B7.82B8.17B9.14B9.55B2.78B2.54B2.93B3.27B3.71B
UNITED STATES Growth--37.04%4.40%11.88%4.50%-70.86%-8.63%15.18%11.78%13.44%
FRANCE802M930M965M936M864M388M319M394M578M678M
FRANCE Growth-15.96%3.76%-3.01%-7.69%-55.09%-17.78%23.51%46.70%17.30%
GERMANY264M284M309M302M322M181M181M292M363M458M
GERMANY Growth-7.58%8.80%-2.27%6.62%-43.79%0.00%61.33%24.32%26.17%
JAPAN-145M141M170M190M76M77M319M378M355M
JAPAN Growth---2.76%20.57%11.76%-60.00%1.32%314.29%18.50%-6.08%
UNITED KINGDOM698M711M721M737M732M327M330M228M283M350M
UNITED KINGDOM Growth-1.86%1.41%2.22%-0.68%-55.33%0.92%-30.91%24.12%23.67%
ITALY139M127M37M----180M220M287M
ITALY Growth--8.63%-70.87%-----22.22%30.45%
MEXICO-------235M263M220M
MEXICO Growth--------11.91%-16.35%
CANADA308M262M261M285M313M119M127M138M145M174M
CANADA Growth--14.94%-0.38%9.20%9.82%-61.98%6.72%8.66%5.07%20.00%
POLAND-------96M130M152M
POLAND Growth--------35.42%16.92%
CHINA565M582M615M632M630M231M213M111M98M103M
CHINA Growth-3.01%5.67%2.76%-0.32%-63.33%-7.79%-47.89%-11.71%5.10%
HUNGARY622M619M739M823M719M309M257M---
HUNGARY Growth--0.48%19.39%11.37%-12.64%-57.02%-16.83%---
RUSSIAN FEDERATION455M433M500M553M511M185M225M---
RUSSIAN FEDERATION Growth--4.84%15.47%10.60%-7.59%-63.80%21.62%---
BRAZIL854M250M285M214M159M75M71M---
BRAZIL Growth--70.73%14.00%-24.91%-25.70%-52.83%-5.33%---
AUSTRALIA2.2B53M--------
AUSTRALIA Growth--97.59%--------
SPAIN2.85B4M--------
SPAIN Growth--99.86%--------
NETHERLANDS34M---------
NETHERLANDS Growth----------
NORWAY30M---------
NORWAY Growth----------

Frequently Asked Questions

Valuation & Price

Howmet Aerospace Inc. (HWM) has a price-to-earnings (P/E) ratio of 78.2x. This suggests investors expect higher future growth.

Growth & Financials

Howmet Aerospace Inc. (HWM) reported $7.97B in revenue for fiscal year 2024. This represents a 36% decrease from $12.54B in 2014.

Howmet Aerospace Inc. (HWM) grew revenue by 11.9% over the past year. This is steady growth.

Yes, Howmet Aerospace Inc. (HWM) is profitable, generating $1.45B in net income for fiscal year 2024 (15.5% net margin).

Dividend & Returns

Yes, Howmet Aerospace Inc. (HWM) pays a dividend with a yield of 0.12%. This makes it attractive for income-focused investors.

Howmet Aerospace Inc. (HWM) has a return on equity (ROE) of 26.9%. This is excellent, indicating efficient use of shareholder capital.

Howmet Aerospace Inc. (HWM) generated $1.06B in free cash flow for fiscal year 2024. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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