Booz Allen Hamilton Holding Corp Class A (BAH)

Industry Consulting Services

This stock can be held in an Investment ISA and an Investment Account
Sell

$102.16

Buy

$102.26

arrow-down$-0.30 (-0.29%)

Booz Allen Hamilton Holding Corp provides management and technology consulting, engineering, analytics, digital solutions, and cyber expertise to U.S. and international governments, major corporations, and not-for-profit organizations.
Prices updated at 05 Jun 2025, 19:15 EDT
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Prices in USD

Income statement

20182019202020212022202320242025
6,168m6,704m7,464m7,859m8,364m9,259m10,662m11,980m
3,301m3,604m4,085m4,201m4,464m4,954m5,741m6,561m
520m602m669m754m685m447m1,014m1,370m
8.438.998.979.608.194.839.5111.44
302m419m483m609m467m271m606m935m
572m669m751m803m820m649m1,201m1,574m
Sales, General and administrative856m928m1,036m1,037m1,159m1,533m1,281m1,246m
Interest expenses77m85m90m56m70m116m183m190m
Provision for income taxes128m97m97m53m137m97m248m284m
Operating expenses2,782m3,001m3,415m3,447m3,779m4,507m4,727m5,191m
Income before taxes430m515m579m662m604m368m854m1,219m
Net income available to common shareholders300m417m481m609m464m270m601m930m
2.893.093.944.223.243.126.737.28
Net interest income-82m-91m-95m-61m-75m-111m-162m-178m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)2.863.063.924.23.223.116.77.25
Free cash flow per share2.64882.65915.31833.89143.17821.38677.09696.5336
Book value/share4.58495.98777.057.85529.1918.2519.44729.6887
Debt equity ratio3.1209012.5198742.6603952.3729762.8475752.9929773.3734484.082752

Balance sheet

20182019202020212022202320242025
Current assets1,489m1,699m2,328m2,636m2,446m2,288m2,739m3,313m
Current liabilities1,036m1,179m1,328m1,291m1,534m1,897m1,692m1,846m
Total capital2,310m2,377m2,864m3,350m3,778m3,763m4,397m4,918m
Total debt1,819m1,760m2,505m2,675m3,099m3,062m3,637m4,219m
Total equity555m675m856m1,071m1,046m992m1,047m1,003m
Total non current liabilities--------
Loans1,755m1,702m2,008m2,279m2,732m2,771m3,350m3,915m
Total assets3,603m3,832m4,794m5,500m6,026m6,551m6,564m7,312m
Total liabilities--------
Cash and cash equivalents287m284m742m991m696m405m554m885m
Common stock143m140m139m136m133m132m130m125m

Cash flow

20182019202020212022202320242025
Cash at beginning of period217m287m284m742m991m696m405m554m
Cash dividends paid-103m-114m-147m-181m-209m-236m-253m-268m
291m405m423m631m657m527m192m911m
Investments (gains) losses-96m-89m-128m-158m-868m-468m-91m-218m
287m284m742m991m696m405m554m885m
Net income--------
369m500m551m719m737m603m259m1,009m
-78m-95m-128m-87m-80m-76m-67m-98m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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