Hexcel Corp (HXL)

Industry Aerospace & Defense

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

$22.45

Buy

$72.00

arrow-up$1.02 (+1.84%)

Hexcel Corp is a composites company. It develops, manufactures and markets composites, including carbon fibers, reinforcements, honeycomb, adhesives and composite structures, for use in Commercial Aerospace, Space and Defense, and Industrial markets.
Prices updated at 14 Mar 2025, 21:34 EDT
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Prices in USD

Income statement

20172018201920202021202220232024
1,973m2,189m2,356m1,502m1,325m1,578m1,789m1,903m
552m581m640m240m250m357m433m470m
351m371m425m14m52m175m215m186m
17.7716.9618.050.943.9111.1012.039.78
284m277m307m32m16m126m106m132m
455m494m567m155m198m312m269m310m
Sales, General and administrative152m146m159m121m135m148m164m177m
Interest expenses27m38m46m42m38m36m34m31m
Provision for income taxes43m63m77m-61m6m32m12m23m
Operating expenses201m210m215m226m198m182m218m284m
Income before taxes323m334m380m-28m22m150m110m155m
Net income available to common shareholders284m277m307m32m16m126m106m132m
3.133.153.610.380.191.51.251.61
Net interest income-27m-38m-45m-42m-38m-36m-34m-31m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)3.093.113.570.380.191.491.241.59
Free cash flow per share1.14492.12652.59213.34341.82760.85251.19942.4341
Book value/share15.92316.123816.959317.935417.789317.161519.575519.6235
Debt equity ratio0.5388270.7166410.7265060.6128330.5536180.4653840.4074570.458538

Balance sheet

20172018201920202021202220232024
Current assets657m676m705m536m616m734m864m782m
Current liabilities262m327m323m183m248m330m316m354m
Total capital2,301m2,269m2,495m2,433m2,306m2,276m2,414m2,227m
Total debt810m957m1,060m926m823m724m700m701m
Total equity1,495m1,322m1,446m1,510m1,486m1,554m1,717m1,528m
Total non current liabilities--------
Loans806m947m1,049m923m821m722m698m699m
Total assets2,781m2,824m3,129m2,918m2,819m2,837m2,919m2,726m
Total liabilities--------
Cash and cash equivalents60m33m64m103m128m112m227m125m
Common stock90m85m84m84m84m84m84m81m

Cash flow

20172018201920202021202220232024
Cash at beginning of period35m60m33m64m103m128m112m227m
Cash dividends paid-43m-48m-54m-14m--34m-42m-49m
151m237m287m214m124m97m149m203m
Investments (gains) losses-354m-187m-367m-51m-28m-55m-51m-87m
60m33m64m103m128m112m227m125m
Net income--------
429m421m491m264m152m173m257m290m
-278m-184m-204m-51m-28m-76m-108m-87m
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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