L3Harris Technologies Inc (LHX)

Industry Aerospace & Defense

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

$229.20

Buy

$229.36

arrow-up$2.49 (+1.10%)

Harris Corp develops, manufactures and sells technology-based solutions that serve government and commercial customers' mission-critical challenges. Its products include communications systems, serving defense and public safety networks amongst other.
Prices updated at 16 May 2025, 17:30 EDT
| Prices minimum 15 mins delay
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Prices in USD

Income statement

20172018201920202021202220232024
5,897m6,168m6,801m18,194m17,814m17,062m19,419m21,325m
2,043m2,102m2,334m5,308m5,376m4,927m5,113m5,524m
893m920m1,092m1,993m2,096m1,929m2,025m2,077m
15.1414.9216.0610.9511.7711.3110.439.74
543m699m949m1,119m1,846m1,062m1,227m1,502m
1,372m1,337m1,538m2,608m3,515m2,490m2,930m3,561m
Sales, General and administrative1,150m1,182m1,242m3,315m3,280m2,998m1,921m2,153m
Interest expenses172m170m167m254m265m279m543m675m
Provision for income taxes261m206m160m234m440m212m23m85m
Operating expenses1,150m1,182m1,242m3,315m3,280m2,998m3,088m3,447m
Income before taxes889m908m1,113m1,322m2,283m1,273m1,221m1,597m
Net income available to common shareholders543m699m949m1,119m1,846m1,062m1,227m1,502m
4.317.328.035.239.175.546.477.91
Net interest income-170m-168m-167m-254m-265m-279m-543m-675m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.237.177.865.199.095.496.447.87
Free cash flow per share4.05765.20058.49798.21310.559.66128.93439.3982
Book value/share25.190427.5442103.0151101.4364100.686696.200998.0778100.1643
Debt equity ratio1.1598361.0396580.8215880.370440.4068080.3360690.5947240.567849

Balance sheet

20172018201920202021202220232024
Current assets2,073m2,223m2,578m6,667m6,359m6,754m8,055m8,218m
Current liabilities1,926m1,788m2,268m4,240m4,551m5,776m8,004m7,633m
Total capital6,324m6,730m6,126m27,632m26,261m24,748m29,925m30,595m
Total debt4,030m3,790m3,522m7,652m7,829m7,786m13,125m12,236m
Total equity2,928m3,322m3,363m20,724m19,213m18,523m18,765m19,514m
Total non current liabilities--------
Loans3,396m3,408m2,763m6,908m7,048m6,225m11,160m11,081m
Total assets10,090m9,839m10,117m36,960m34,709m33,524m41,687m42,001m
Total liabilities--------
Cash and cash equivalents484m288m530m1,276m941m880m560m615m
Common stock120m118m221m208m194m191m190m190m

Cash flow

20172018201920202021202220232024
Cash at beginning of period487m484m288m824m1,276m941m880m560m
Cash dividends paid-262m-272m-325m-725m-817m-864m-868m-886m
450m615m1,024m2,422m2,345m1,906m1,647m2,151m
Investments (gains) losses870m-141m-159m751m1,394m-250m-7,021m-263m
484m288m530m1,276m941m880m560m615m
Net income--------
569m751m1,185m2,790m2,687m2,158m2,096m2,559m
-119m-136m-161m-368m-342m-252m-449m-408m
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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