Curtiss-Wright Corp (CW)

Industry Aerospace & Defense

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

$275.00

Buy

$385.00

arrow-up$7.38 (+2.11%)

Curtiss-Wright Corp is a diversified manufacturing and service company. It designs, manufactures, and overhauls precision components and provides engineered products and services to the aerospace, defense, automotive, and metalworking industries.
Prices updated at 02 May 2025, 23:48 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
2,271m2,412m2,488m2,391m2,501m2,557m2,845m3,121m
801m871m899m841m928m955m1,067m1,154m
325m374m404m354m396m428m485m543m
14.3215.4916.2414.7915.8416.7417.0317.40
215m276m308m201m263m294m355m405m
441m493m530m414m504m548m631m675m
Sales, General and administrative414m433m422m413m443m446m497m519m
Interest expenses41m34m31m36m40m47m51m45m
Provision for income taxes85m80m89m62m86m95m109m117m
Operating expenses476m498m495m488m532m527m583m611m
Income before taxes300m356m396m263m349m389m463m522m
Net income available to common shareholders215m276m308m201m263m294m355m405m
4.866.287.24.836.617.679.2610.61
Net interest income-41m-34m-31m-36m-40m-47m-51m-45m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.86.227.154.86.587.629.210.55
Free cash flow per share5.86736.18877.47824.95779.09514.953310.804712.3497
Book value/share33.41737.904739.857843.97949.39149.248757.198966.1455
Debt equity ratio0.5327850.497990.510470.6052460.6406290.5946580.5001560.451924

Balance sheet

20172018201920202021202220232024
Current assets1,402m1,344m1,530m1,301m1,308m1,517m1,717m1,850m
Current liabilities591m687m745m810m735m971m807m1,096m
Total capital2,342m2,293m2,524m2,746m2,869m3,038m3,374m3,409m
Total debt814m763m921m1,219m1,195m1,411m1,195m1,227m
Total equity1,528m1,531m1,774m1,788m1,826m1,992m2,328m2,450m
Total non current liabilities--------
Loans814m762m749m958m1,043m1,046m1,046m959m
Total assets3,236m3,255m3,764m4,021m4,104m4,450m4,621m4,986m
Total liabilities--------
Cash and cash equivalents475m276m391m198m171m257m407m385m
Common stock44m43m43m41m38m38m38m38m

Cash flow

20172018201920202021202220232024
Cash at beginning of period554m475m276m391m198m171m257m407m
Cash dividends paid-25m-26m-28m-28m-29m-29m-30m-32m
336m281m352m214m347m257m403m483m
Investments (gains) losses-272m-256m-240m-533m-42m-326m-36m-283m
475m276m391m198m171m257m407m385m
Net income--------
389m336m421m261m388m295m448m544m
-53m-55m-70m-47m-41m-38m-45m-61m
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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