Symbols / CW Stock $717.24 +0.89% Curtiss-Wright Corporation

Industrials • Aerospace & Defense • United States • NYQ
CW (Stock) Chart
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About

Curtiss-Wright Corporation, together with its subsidiaries, provides engineered products, solutions, and services mainly to aerospace and defense, commercial nuclear power, process, and industrial markets worldwide. It operates through three segments: Aerospace & Industrial, Defense Electronics, and Naval & Power. The Aerospace & Industrial segment offers industrial and specialty vehicle products, such as power management electronics, traction inverters, transmission shifters, and control systems; sensors, controls, and electro-mechanical actuation components used on commercial and military aircraft; and surface technology services including shot peening, laser peening, and engineered coatings. The Defense Electronics segment provides commercial off-the-shelf embedded computing board-level modules and processing equipment, data acquisition and flight test instrumentation equipment, integrated subsystems, instrumentation and control systems, tactical communications solutions; and electronic stabilization products, and weapons handling systems; avionics and electronics; flight test equipment; and aircraft data management solutions. The Naval & Power segment offers main coolant pumps, power-dense compact motors, generators, steam turbines, valves, and secondary propulsion systems; energy absorbers, retractable hook cable systems, net-stanchion systems and mobile systems to support fixed land-based arresting systems; hardware, valves, fastening systems, specialized containment doors, airlock hatches, and spent fuel management products; reactor coolant pumps and control rod drive mechanisms for commercial nuclear power plants, as well as various nuclear reactor technologies. This segment furnishes severe-service valve technologies and services, heat exchanger repair, and piping test and isolation products, and offers ship repair and maintenance for the U.S. navy. Curtiss-Wright Corporation was incorporated in 1929 and is headquartered in Davidson, North Carolina.

Stock Fundamentals
Scroll to Statements
Market Cap 26.47B Enterprise Value 27.01B Income 484.23M Sales 3.50B Book/sh 68.74 Cash/sh 10.07
Dividend Yield 14.00% Payout 7.23% Employees 9100 IPO P/E 55.73 Forward P/E 42.69
PEG 2.00 P/S 7.57 P/B 10.43 P/C EV/EBITDA 33.91 EV/Sales 7.72
Quick Ratio 0.93 Current Ratio 1.44 Debt/Eq 46.10 LT Debt/Eq EPS (ttm) 12.87 EPS next Y 16.80
EPS Growth 19.60% Revenue Growth 14.90% Earnings 2026-05-06 ROA 8.22% ROE 19.43% ROIC
Gross Margin 37.20% Oper. Margin 20.32% Profit Margin 13.84% Shs Outstand 36.91M Shs Float 36.67M Short Float 1.65%
Short Ratio 1.67 Short Interest 52W High 748.14 52W Low 325.83 Beta 0.92 Avg Volume 313.93K
Volume 14.13K Target Price $727.86 Recom Buy Prev Close $710.93 Price $717.24 Change 0.89%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$727.86
Mean price target
2. Current target
$717.24
Latest analyst target
3. DCF / Fair value
$227.15
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$717.24
Low
$614.00
High
$780.00
Mean
$727.86

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-14 main Stifel Hold → Hold $723
2026-04-02 main Citigroup Neutral → Neutral $728
2026-02-13 main Citigroup Neutral → Neutral $718
2026-02-13 main Stifel Hold → Hold $650
2026-01-13 main Citigroup Neutral → Neutral $661
2025-12-16 main Stifel Hold → Hold $584
2025-12-12 init Citigroup — → Neutral $607
2025-11-10 main Morgan Stanley Overweight → Overweight $645
2025-11-07 main Truist Securities Hold → Hold $537
2025-10-20 main Stifel Hold → Hold $502
2025-10-15 main Truist Securities Hold → Hold $525
2025-08-08 main Stifel Hold → Hold $457
2025-07-21 main Stifel Hold → Hold $450
2025-07-17 main Morgan Stanley Overweight → Overweight $550
2025-07-14 main Citigroup Buy → Buy $568
2025-07-11 main Truist Securities Hold → Hold $338
2025-06-09 main Citigroup Buy → Buy $520
2025-05-22 main Baird Outperform → Outperform $500
2025-04-17 main Truist Securities Hold → Hold $338
2025-04-14 main Stifel Hold → Hold $309
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-03-18 FARKAS K CHRISTOPHER Chief Financial Officer 1,265 $689.69 $872,458
2026-03-18 OGILBY GARY A Officer 252 $689.14 $173,663
2026-03-17 RAYMENT KEVIN Chief Operating Officer 907 $677.38 $614,384
2026-03-17 WATTS JOHN C Officer 220 $678.11 $149,184
2026-03-17 MCDONALD GEORGE P. Officer 151 $678.07 $102,389
2026-03-17 FARKAS K CHRISTOPHER Chief Financial Officer 918 $677.46 $621,908
2026-03-17 OGILBY GARY A Officer 148 $678.30 $100,388
2026-03-17 BAMFORD LYNN M. Chief Executive Officer 3,225 $676.70 $2,182,358
2026-03-17 FREDA ROBERT F. Officer and Treasurer 140 $678.61 $95,005
2026-03-16 RAYMENT KEVIN Chief Operating Officer 2,504
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
3,498.37
+12.08%
3,121.19
+9.69%
2,845.37
+11.28%
2,557.03
Operating Revenue
3,498.37
+12.08%
3,121.19
+9.69%
2,845.37
+11.28%
2,557.03
Cost Of Revenue
2,196.84
+11.65%
1,967.64
+10.65%
1,778.19
+10.97%
1,602.42
Reconciled Cost Of Revenue
2,196.84
+11.65%
1,967.64
+10.65%
1,778.19
+10.97%
1,602.42
Gross Profit
1,301.53
+12.83%
1,153.55
+8.09%
1,067.18
+11.79%
954.61
Operating Expense
663.51
+8.68%
610.50
+4.79%
582.58
+10.65%
526.51
Research And Development
95.16
+3.83%
91.65
+6.86%
85.76
+6.10%
80.84
Selling General And Administration
568.35
+9.54%
518.86
+4.44%
496.81
+11.47%
445.68
Selling And Marketing Expense
168.74
+16.08%
145.36
+6.03%
137.09
+12.75%
121.59
General And Administrative Expense
399.61
+6.99%
373.50
+3.83%
359.72
+10.99%
324.09
Other Gand A
399.61
+6.99%
373.50
+3.83%
359.72
+10.99%
324.09
Total Expenses
2,860.35
+10.95%
2,578.14
+9.21%
2,360.77
+10.89%
2,128.93
Operating Income
638.02
+17.49%
543.04
+12.06%
484.60
+13.20%
428.09
Total Operating Income As Reported
633.52
+19.85%
528.60
+9.08%
484.60
+14.44%
423.44
EBITDA
787.98
+16.81%
674.59
+6.97%
630.63
+15.04%
548.20
Normalized EBITDA
792.48
+15.01%
689.04
+9.26%
630.63
+14.07%
552.85
Reconciled Depreciation
124.82
+15.93%
107.67
-7.32%
116.17
+3.70%
112.03
EBIT
663.16
+16.97%
566.92
+10.20%
514.46
+17.95%
436.18
Total Unusual Items
-4.50
+68.83%
-14.45
0.00
+100.00%
-4.65
Total Unusual Items Excluding Goodwill
-4.50
+68.83%
-14.45
0.00
+100.00%
-4.65
Special Income Charges
-4.50
+68.83%
-14.45
0.00
+100.00%
-4.65
Restructuring And Mergern Acquisition
4.50
-68.83%
14.45
0.00
0.00
Write Off
0.00
0.00
Net Income
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Net Non Operating Interest Income Expense
-43.15
+3.84%
-44.87
+12.69%
-51.39
-9.39%
-46.98
Interest Expense Non Operating
43.15
-3.84%
44.87
-12.69%
51.39
+9.39%
46.98
Net Interest Income
-43.15
+3.84%
-44.87
+12.69%
-51.39
-9.39%
-46.98
Interest Expense
43.15
-3.84%
44.87
-12.69%
51.39
+9.39%
46.98
Other Income Expense
25.13
+5.25%
23.88
-20.03%
29.86
+269.52%
8.08
Other Non Operating Income Expenses
29.64
-22.68%
38.33
+28.35%
29.86
+134.54%
12.73
Gain On Sale Of Business
0.00
0.00
+100.00%
-4.65
Tax Provision
135.78
+15.98%
117.08
+7.85%
108.56
+14.46%
94.85
Tax Rate For Calcs
0.00
-2.23%
0.00
-4.27%
0.00
-4.10%
0.00
Tax Effect Of Unusual Items
-0.99
+69.52%
-3.24
0.00
+100.00%
-1.13
Net Income Including Noncontrolling Interests
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Net Income From Continuing Operation Net Minority Interest
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Net Income From Continuing And Discontinued Operation
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Net Income Continuous Operations
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Normalized Income
487.75
+17.19%
416.19
+17.40%
354.51
+19.02%
297.86
Net Income Common Stockholders
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Diluted EPS
12.87
+21.99%
10.55
+1235.44%
0.79
-89.63%
7.62
Basic EPS
12.94
+21.96%
10.61
+15.33%
9.20
+19.95%
7.67
Basic Average Shares
37.42
-1.93%
38.15
-0.34%
38.28
-0.27%
38.39
Diluted Average Shares
37.63
-1.93%
38.37
-0.40%
38.53
-0.31%
38.65
Diluted NI Availto Com Stockholders
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
5,221.29
+4.73%
4,985.70
+7.89%
4,620.97
+3.88%
4,448.30
Current Assets
2,018.47
+9.13%
1,849.59
+7.72%
1,717.08
+13.26%
1,516.01
Cash Cash Equivalents And Short Term Investments
371.35
-3.56%
385.04
-5.36%
406.87
+58.33%
256.97
Cash And Cash Equivalents
371.35
-3.56%
385.04
-5.36%
406.87
+58.33%
256.97
Receivables
932.34
+11.65%
835.04
+13.97%
732.68
+1.30%
723.30
Accounts Receivable
526.32
+9.69%
479.84
+12.16%
427.83
+3.67%
412.68
Receivables Adjustments Allowances
-6.39
-51.98%
-4.20
-4.37%
-4.03
+14.23%
-4.69
Other Receivables
412.41
+14.75%
359.40
+16.36%
308.87
-2.04%
315.32
Inventory
615.10
+13.60%
541.44
+6.16%
510.03
+5.57%
483.11
Raw Materials
288.35
+9.91%
262.37
+9.63%
239.31
-1.16%
242.12
Work In Process
130.52
+20.76%
108.09
+4.18%
103.75
+35.93%
76.33
Finished Goods
146.67
+8.94%
134.62
+6.70%
126.17
-1.50%
128.09
Assets Held For Sale Current
0.00
Other Current Assets
99.69
+13.19%
88.07
+30.47%
67.50
+28.27%
52.62
Total Non Current Assets
3,202.82
+2.13%
3,136.11
+8.00%
2,903.89
-0.97%
2,932.29
Net PPE
580.80
+14.23%
508.47
+7.22%
474.23
-4.50%
496.56
Gross PPE
1,463.32
+7.26%
1,364.32
+3.64%
1,316.42
+2.03%
1,290.21
Accumulated Depreciation
-882.51
-3.12%
-855.85
-1.62%
-842.19
-6.12%
-793.65
Properties
0.00
0.00
0.00
0.00
Land And Improvements
19.50
+23.60%
15.77
-2.47%
16.17
-4.19%
16.88
Buildings And Improvements
260.83
+3.82%
251.23
-0.86%
253.41
+0.28%
252.71
Machinery Furniture Equipment
984.38
+6.08%
927.96
+2.49%
905.41
+4.46%
866.76
Other Properties
198.60
+17.27%
169.35
+19.74%
141.44
-8.07%
153.85
Goodwill And Other Intangible Assets
2,224.87
-2.10%
2,272.55
+7.38%
2,116.44
-2.27%
2,165.53
Goodwill
1,692.49
+1.00%
1,675.72
+7.50%
1,558.83
+0.92%
1,544.63
Other Intangible Assets
532.38
-10.80%
596.83
+7.03%
557.61
-10.19%
620.90
Non Current Prepaid Assets
261.87
+17.63%
222.63
Other Non Current Assets
63.60
+13.64%
55.96
+8.98%
51.35
+7.96%
47.57
Total Liabilities Net Minority Interest
2,687.72
+5.99%
2,535.91
+10.61%
2,292.56
-7.07%
2,467.09
Current Liabilities
1,405.57
+28.25%
1,095.95
+35.88%
806.54
-17.79%
981.04
Payables And Accrued Expenses
380.65
+25.22%
303.99
+0.86%
301.40
-14.65%
353.13
Payables
322.74
+27.97%
252.20
-0.78%
254.19
-15.73%
301.62
Accounts Payable
310.30
+25.53%
247.19
+1.37%
243.83
-8.51%
266.52
Current Accrued Expenses
57.91
+11.82%
51.79
+9.69%
47.22
-8.34%
51.51
Employee Benefits
71.42
+5.94%
67.41
+0.80%
66.88
+14.61%
58.35
Pensionand Other Post Retirement Benefit Plans Current
179.09
+6.82%
167.65
+23.77%
135.45
+45.89%
92.85
Total Tax Payable
12.44
+148.15%
5.01
-51.57%
10.35
-70.50%
35.09
Income Tax Payable
12.44
+148.15%
5.01
-51.57%
10.35
-70.50%
35.09
Current Debt And Capital Lease Obligation
231.73
+93.48%
119.77
+291.04%
30.63
-86.82%
232.41
Current Debt
200.00
+122.22%
90.00
202.50
Other Current Borrowings
200.00
+122.22%
90.00
202.50
Current Capital Lease Obligation
31.73
+6.58%
29.77
-2.80%
30.63
+2.40%
29.91
Current Deferred Liabilities
561.45
+22.21%
459.42
+51.19%
303.87
+19.26%
254.80
Current Deferred Revenue
561.45
+22.21%
459.42
+51.19%
303.87
+19.26%
254.80
Other Current Liabilities
37.78
+19.02%
31.75
+58.86%
19.98
+1.39%
19.71
Total Non Current Liabilities Net Minority Interest
1,282.15
-10.96%
1,439.96
-3.10%
1,486.01
0.00%
1,486.04
Long Term Debt And Capital Lease Obligation
936.35
-15.43%
1,107.12
-4.93%
1,164.57
-1.15%
1,178.14
Long Term Debt
757.88
-20.97%
958.95
-8.32%
1,045.96
+0.01%
1,045.87
Long Term Capital Lease Obligation
178.47
+20.44%
148.18
+24.93%
118.61
-10.33%
132.28
Long Term Provisions
12.78
+1.89%
12.55
Defined Pension Benefit
333.55
+11.51%
299.13
+14.23%
261.87
+17.63%
222.63
Non Current Pension And Other Postretirement Benefit Plans
71.42
+5.94%
67.41
+0.80%
66.88
+14.61%
58.35
Non Current Deferred Liabilities
154.00
+9.49%
140.66
+6.30%
132.32
+7.58%
123.00
Non Current Deferred Taxes Liabilities
154.00
+9.49%
140.66
+6.30%
132.32
+7.58%
123.00
Other Non Current Liabilities
120.38
-3.51%
124.76
+5.87%
117.84
+9.14%
107.97
Stockholders Equity
2,533.57
+3.42%
2,449.80
+5.21%
2,328.41
+17.52%
1,981.21
Common Stock Equity
2,533.57
+3.42%
2,449.80
+5.21%
2,328.41
+17.52%
1,981.21
Capital Stock
49.19
+0.00%
49.19
+0.00%
49.19
+0.00%
49.19
Common Stock
49.19
+0.00%
49.19
+0.00%
49.19
+0.00%
49.19
Share Issued
49.19
+0.00%
49.19
+0.00%
49.19
+0.00%
49.19
Ordinary Shares Number
36.86
-2.10%
37.65
-1.45%
38.20
-0.15%
38.26
Treasury Shares Number
12.33
+6.86%
11.54
+5.03%
10.98
+0.52%
10.93
Additional Paid In Capital
165.01
+11.54%
147.94
+5.53%
140.18
+4.18%
134.55
Retained Earnings
4,310.68
+11.64%
3,861.07
+10.70%
3,487.75
+10.25%
3,163.49
Gains Losses Not Affecting Retained Earnings
-173.81
+28.54%
-243.22
-14.07%
-213.22
+17.65%
-258.92
Treasury Stock
1,817.49
+33.13%
1,365.18
+20.23%
1,135.48
+2.56%
1,107.10
Other Equity Adjustments
-173.81
+28.54%
-243.22
-14.07%
-213.22
+17.65%
-258.92
Total Equity Gross Minority Interest
2,533.57
+3.42%
2,449.80
+5.21%
2,328.41
+17.52%
1,981.21
Total Capitalization
3,291.46
-3.44%
3,408.75
+1.02%
3,374.37
+11.47%
3,027.08
Working Capital
612.91
-18.67%
753.65
-17.23%
910.54
+70.20%
534.97
Invested Capital
3,491.46
-0.21%
3,498.75
+3.69%
3,374.37
+4.48%
3,229.58
Total Debt
1,168.08
-4.79%
1,226.90
+2.65%
1,195.20
-15.27%
1,410.55
Net Debt
586.54
-11.65%
663.91
+3.88%
639.09
-35.54%
991.39
Capital Lease Obligations
210.20
+18.12%
177.95
+19.24%
149.24
-7.98%
162.19
Net Tangible Assets
308.70
+74.16%
177.25
-16.38%
211.97
+215.01%
-184.32
Tangible Book Value
308.70
+74.16%
177.25
-16.38%
211.97
+215.01%
-184.32
Current Provisions
14.86
+11.09%
13.37
-12.07%
15.21
-45.97%
28.15
Derivative Product Liabilities
4.40
-26.99%
6.03
Interest Payable
13.37
-3.01%
13.78
+4.81%
13.15
-19.88%
16.41
Inventories Adjustments Allowances
-2.46
+20.83%
-3.11
Other Inventories
49.56
+36.27%
36.37
-10.86%
40.80
+2.80%
39.69
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
643.40
+18.21%
544.27
+21.47%
448.09
+52.01%
294.78
Cash Flow From Continuing Operating Activities
643.40
+18.21%
544.27
+21.47%
448.09
+52.01%
294.78
Net Income From Continuing Operations
484.23
+19.57%
404.98
+14.24%
354.51
+20.44%
294.35
Depreciation Amortization Depletion
124.82
+15.93%
107.67
-7.32%
116.17
+3.70%
112.03
Depreciation And Amortization
124.82
+15.93%
107.67
-7.32%
116.17
+3.70%
112.03
Other Non Cash Items
0.47
-89.05%
4.27
-3.10
Stock Based Compensation
21.52
+13.93%
18.89
+12.41%
16.80
+9.22%
15.38
Asset Impairment Charge
0.00
0.00
Deferred Tax
14.99
+226.84%
-11.82
-506.53%
2.91
+112.30%
-23.64
Deferred Income Tax
14.99
+226.84%
-11.82
-506.53%
2.91
+112.30%
-23.64
Operating Gains Losses
0.36
+3720.00%
-0.01
+99.65%
-2.88
-14315.00%
-0.02
Net Foreign Currency Exchange Gain Loss
0.00
Gain Loss On Sale Of PPE
0.36
+3720.00%
-0.01
+99.65%
-2.88
+38.28%
-4.67
Change In Working Capital
-2.99
-114.72%
20.30
+151.50%
-39.42
+61.85%
-103.33
Change In Receivables
-82.85
+6.71%
-88.81
-3609.61%
-2.39
+96.85%
-75.95
Change In Inventory
-63.48
-84.01%
-34.50
-59.96%
-21.57
+65.53%
-62.56
Change In Payables And Accrued Expense
73.93
+361.36%
16.02
+201.55%
-15.78
-116.05%
98.34
Change In Other Working Capital
69.42
-45.59%
127.58
+39645.79%
0.32
+100.51%
-63.15
Investing Cash Flow
-90.12
+68.19%
-283.31
-697.63%
-35.52
+89.10%
-325.87
Cash Flow From Continuing Investing Activities
-90.12
+68.19%
-283.31
-697.63%
-35.52
+89.10%
-325.87
Net PPE Purchase And Sale
-88.42
-53.07%
-57.77
-62.64%
-35.52
-25.17%
-28.38
Purchase Of PPE
-89.69
-47.10%
-60.97
-36.51%
-44.67
-16.87%
-38.22
Sale Of PPE
1.27
-60.45%
3.21
-64.95%
9.15
-7.05%
9.84
Capital Expenditure
-89.69
-47.10%
-60.97
-36.51%
-44.67
-16.87%
-38.22
Net Investment Purchase And Sale
7.92
0.00
0.00
+100.00%
-10.00
Purchase Of Investment
0.00
0.00
+100.00%
-10.00
Sale Of Investment
7.92
0.00
0.00
Net Business Purchase And Sale
-9.62
+95.74%
-225.54
0.00
+100.00%
-287.49
Purchase Of Business
-9.62
+95.74%
-225.54
0.00
+100.00%
-287.49
Gain Loss On Sale Of Business
0.00
0.00
-100.00%
4.65
Financing Cash Flow
-578.30
-113.01%
-271.49
+0.70%
-273.40
-311.24%
129.43
Cash Flow From Continuing Financing Activities
-578.30
-113.01%
-271.49
+0.70%
-273.40
-311.24%
129.43
Net Issuance Payments Of Debt
-90.00
0.00
+100.00%
-202.50
-198.25%
206.10
Issuance Of Debt
475.10
+2129.57%
21.31
-96.66%
638.12
-68.06%
1,997.65
Repayment Of Debt
-565.10
-2551.93%
-21.31
+97.47%
-840.62
+53.08%
-1,791.55
Long Term Debt Issuance
475.10
+2129.57%
21.31
-96.66%
638.12
-68.06%
1,997.65
Long Term Debt Payments
-565.10
-2551.93%
-21.31
+97.47%
-840.62
+53.08%
-1,791.55
Net Long Term Debt Issuance
-90.00
0.00
+100.00%
-202.50
-198.25%
206.10
Short Term Debt Issuance
638.12
-62.41%
1,697.65
Short Term Debt Payments
-638.12
+64.38%
-1,791.55
Net Short Term Debt Issuance
0.00
+100.00%
-93.90
Net Common Stock Issuance
-464.95
-85.98%
-250.00
-398.59%
-50.14
+11.83%
-56.87
Common Stock Payments
-464.95
-85.98%
-250.00
-398.59%
-50.14
+11.83%
-56.87
Common Stock Dividend Paid
-34.73
-9.70%
-31.66
-4.65%
-30.25
-5.11%
-28.78
Cash Dividends Paid
-34.73
-9.70%
-31.66
-4.65%
-30.25
-5.11%
-28.78
Repurchase Of Capital Stock
-464.95
-85.98%
-250.00
-398.59%
-50.14
+11.83%
-56.87
Proceeds From Stock Option Exercised
12.54
+10.52%
11.35
+7.19%
10.58
+5.87%
10.00
Net Other Financing Charges
-1.16
+1.95%
-1.18
-7.75%
-1.10
-7.55%
-1.02
Changes In Cash
-25.02
-137.67%
-10.53
-107.56%
139.17
+41.52%
98.34
Effect Of Exchange Rate Changes
11.32
+200.22%
-11.30
-205.33%
10.73
+186.73%
-12.37
Beginning Cash Position
385.04
-5.36%
406.87
+58.33%
256.97
+50.27%
171.00
End Cash Position
371.35
-3.56%
385.04
-5.36%
406.87
+58.33%
256.97
Free Cash Flow
553.71
+14.57%
483.30
+19.80%
403.42
+57.24%
256.56
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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