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HWM Howmet Aerospace

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  • 93.090
  • +1.210+1.32%
Close Aug 9 16:00 ET
37.99BMarket Cap41.37P/E (TTM)

Howmet Aerospace Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
40.56%752M
-0.74%533M
-22.88%610M
-22.88%610M
-6.40%424M
-0.37%535M
3.27%537M
9.86%791M
9.86%791M
-37.43%453M
-Cash and cash equivalents
40.56%752M
-0.74%533M
-22.88%610M
-22.88%610M
-6.40%424M
-0.37%535M
3.27%537M
9.86%791M
9.86%791M
-37.43%453M
Receivables
14.46%768M
19.67%803M
28.86%692M
28.86%692M
21.17%727M
22.00%671M
26.84%671M
27.86%537M
27.86%537M
29.03%600M
-Accounts receivable
14.00%749M
19.85%785M
33.40%675M
33.40%675M
29.82%714M
31.14%657M
36.74%655M
37.87%506M
37.87%506M
34.80%550M
-Other receivables
35.71%19M
12.50%18M
-45.16%17M
-45.16%17M
-74.00%13M
-71.43%14M
-68.00%16M
-41.51%31M
-41.51%31M
-12.28%50M
Inventory
7.76%1.85B
7.28%1.78B
9.70%1.77B
9.70%1.77B
8.44%1.75B
9.72%1.72B
12.07%1.66B
14.76%1.61B
14.76%1.61B
13.52%1.61B
Prepaid assets
----
----
----
----
17.22%211M
10.75%206M
-25.00%186M
----
----
--180M
Restricted cash
----
----
----
----
0.00%1M
0.00%1M
-50.00%1M
----
----
--1M
Other current assets
--235M
--221M
20.87%249M
20.87%249M
----
----
----
5.64%206M
5.64%206M
----
Total current assets
15.19%3.6B
9.26%3.34B
5.50%3.32B
5.50%3.32B
9.31%3.11B
10.26%3.13B
9.88%3.06B
14.83%3.14B
14.83%3.14B
0.92%2.85B
Non current assets
Net PPE
6.25%2.46B
-1.16%2.29B
0.53%2.46B
0.53%2.46B
5.24%2.41B
-0.90%2.32B
-3.29%2.32B
-5.13%2.44B
-5.13%2.44B
-7.85%2.29B
-Gross PPE
6.12%5.6B
3.03%5.4B
4.45%5.54B
4.45%5.54B
6.89%5.4B
3.16%5.28B
1.35%5.24B
-0.86%5.3B
-0.86%5.3B
-3.18%5.05B
-Accumulated depreciation
-6.01%-3.14B
-6.37%-3.11B
-7.80%-3.08B
-7.80%-3.08B
-8.25%-2.99B
-6.59%-2.96B
-5.38%-2.92B
-3.10%-2.86B
-3.10%-2.86B
-1.06%-2.77B
Goodwill and other intangible assets
-0.75%4.51B
-0.53%4.52B
0.13%4.54B
0.13%4.54B
0.58%4.51B
-0.15%4.54B
-1.17%4.54B
-1.78%4.53B
-1.78%4.53B
-3.09%4.49B
-Goodwill
-0.25%4.02B
-0.10%4.02B
0.55%4.04B
0.55%4.04B
1.06%4.01B
0.35%4.03B
-0.72%4.02B
-1.33%4.01B
-1.33%4.01B
-2.75%3.97B
-Other intangible assets
-4.68%489M
-3.86%498M
-3.07%505M
-3.07%505M
-3.06%507M
-3.93%513M
-4.60%518M
-5.10%521M
-5.10%521M
-5.60%523M
Non current deferred assets
-38.46%32M
-35.59%38M
-14.81%46M
-14.81%46M
-57.55%45M
-55.93%52M
-60.40%59M
-70.65%54M
-70.65%54M
-47.52%106M
Other non current assets
-61.54%75M
12.82%220M
-13.58%70M
-13.58%70M
-56.22%88M
-7.58%195M
-3.47%195M
-24.30%81M
-24.30%81M
-9.05%201M
Total non current assets
-0.41%7.08B
-0.66%7.07B
0.00%7.11B
0.00%7.11B
-0.40%7.06B
-1.52%7.11B
-3.13%7.12B
-4.95%7.11B
-4.95%7.11B
-6.02%7.08B
Total assets
4.36%10.68B
2.32%10.41B
1.69%10.43B
1.69%10.43B
2.39%10.17B
1.80%10.23B
0.44%10.17B
0.35%10.26B
0.35%10.26B
-4.13%9.93B
Liabilities
Current liabilities
Payables
9.70%1.05B
11.37%1.05B
3.96%1.05B
3.96%1.05B
11.41%967M
9.98%959M
12.02%941M
27.36%1.01B
27.36%1.01B
20.06%868M
-accounts payable
10.22%971M
9.92%964M
2.08%982M
2.08%982M
10.10%894M
8.23%881M
12.87%877M
31.42%962M
31.42%962M
25.70%812M
-Total tax payable
3.85%81M
31.25%84M
41.67%68M
41.67%68M
30.36%73M
34.48%78M
1.59%64M
-21.31%48M
-21.31%48M
-27.27%56M
Current accrued expenses
-12.33%64M
-28.57%45M
-13.33%65M
-13.33%65M
-14.71%58M
-2.67%73M
-8.70%63M
1.35%75M
1.35%75M
0.00%68M
Current debt and capital lease obligation
2,308.82%819M
524.24%206M
643.75%238M
643.75%238M
0.00%32M
3.03%34M
-5.71%33M
-15.79%32M
-15.79%32M
128.57%32M
-Current debt
--782M
--206M
--206M
--206M
----
----
----
----
----
-92.86%1M
-Current capital lease obligation
8.82%37M
----
0.00%32M
0.00%32M
3.23%32M
6.25%34M
3.13%33M
-3.03%32M
-3.03%32M
--31M
Other current liabilities
39.26%188M
14.45%198M
-1.18%168M
-1.18%168M
-24.88%157M
-6.25%135M
24.46%173M
13.33%170M
13.33%170M
3.98%209M
Current liabilities
67.23%2.36B
21.03%1.7B
20.38%1.78B
20.38%1.78B
5.29%1.45B
6.66%1.41B
11.79%1.4B
18.28%1.48B
18.28%1.48B
14.32%1.38B
Non current liabilities
Long term debt and capital lease obligation
-26.27%3B
-14.29%3.49B
-15.27%3.6B
-15.27%3.6B
-8.78%3.88B
-4.35%4.07B
-5.55%4.07B
-1.46%4.25B
-1.46%4.25B
-0.51%4.25B
-Long term debt
-27.88%2.88B
-12.59%3.49B
-15.91%3.5B
-15.91%3.5B
-9.02%3.79B
-4.32%3.99B
-5.68%3.99B
-1.54%4.16B
-1.54%4.16B
-2.39%4.17B
-Long term capital lease obligation
57.14%121M
----
16.87%97M
16.87%97M
3.75%83M
-6.10%77M
1.28%79M
2.47%83M
2.47%83M
--80M
Employee benefits
0.41%735M
2.73%753M
1.89%756M
1.89%756M
-14.35%716M
-14.88%732M
-18.37%733M
-19.70%742M
-19.70%742M
-16.48%836M
Other non current liabilities
24.40%311M
84.29%387M
37.30%254M
37.30%254M
30.69%247M
26.26%250M
-1.41%210M
-18.14%185M
-18.14%185M
-36.36%189M
Total non current liabilities
-19.89%4.04B
-7.66%4.63B
-10.92%4.61B
-10.92%4.61B
-8.25%4.84B
-4.92%5.05B
-7.51%5.01B
-5.24%5.17B
-5.24%5.17B
-5.30%5.28B
Total liabilities
-0.87%6.4B
-1.39%6.32B
-3.95%6.39B
-3.95%6.39B
-5.44%6.29B
-2.61%6.46B
-3.88%6.41B
-0.85%6.65B
-0.85%6.65B
-1.80%6.66B
Shareholders'equity
Share capital
-0.86%463M
-0.86%463M
-0.43%465M
-0.43%465M
-0.43%467M
-0.85%467M
-1.27%467M
-2.10%467M
-2.10%467M
-2.90%469M
-common stock
-0.97%408M
-0.97%408M
-0.49%410M
-0.49%410M
-0.48%412M
-0.96%412M
-1.44%412M
-2.37%412M
-2.37%412M
-3.27%414M
-Preferred stock
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
0.00%55M
Retained earnings
63.87%2.19B
67.56%1.94B
67.32%1.72B
67.32%1.72B
61.94%1.49B
54.58%1.33B
59.86%1.16B
70.48%1.03B
70.48%1.03B
71.72%917M
Paid-in capital
-7.83%3.49B
-10.12%3.54B
-6.71%3.68B
-6.71%3.68B
-5.70%3.77B
-7.28%3.78B
-4.41%3.94B
-8.02%3.95B
-8.02%3.95B
-10.62%4B
Gains losses not affecting retained earnings
-2.77%-1.86B
-3.05%-1.86B
0.60%-1.83B
0.60%-1.83B
12.36%-1.85B
9.24%-1.81B
3.11%-1.81B
1.18%-1.84B
1.18%-1.84B
-10.47%-2.11B
Total stockholders'equity
13.30%4.28B
8.64%4.09B
12.11%4.04B
12.11%4.04B
18.30%3.87B
10.35%3.78B
8.79%3.76B
2.65%3.6B
2.65%3.6B
-8.55%3.27B
Total equity
13.30%4.28B
8.64%4.09B
12.11%4.04B
12.11%4.04B
18.30%3.87B
10.35%3.78B
8.79%3.76B
2.65%3.6B
2.65%3.6B
-8.55%3.27B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 40.56%752M-0.74%533M-22.88%610M-22.88%610M-6.40%424M-0.37%535M3.27%537M9.86%791M9.86%791M-37.43%453M
-Cash and cash equivalents 40.56%752M-0.74%533M-22.88%610M-22.88%610M-6.40%424M-0.37%535M3.27%537M9.86%791M9.86%791M-37.43%453M
Receivables 14.46%768M19.67%803M28.86%692M28.86%692M21.17%727M22.00%671M26.84%671M27.86%537M27.86%537M29.03%600M
-Accounts receivable 14.00%749M19.85%785M33.40%675M33.40%675M29.82%714M31.14%657M36.74%655M37.87%506M37.87%506M34.80%550M
-Other receivables 35.71%19M12.50%18M-45.16%17M-45.16%17M-74.00%13M-71.43%14M-68.00%16M-41.51%31M-41.51%31M-12.28%50M
Inventory 7.76%1.85B7.28%1.78B9.70%1.77B9.70%1.77B8.44%1.75B9.72%1.72B12.07%1.66B14.76%1.61B14.76%1.61B13.52%1.61B
Prepaid assets ----------------17.22%211M10.75%206M-25.00%186M----------180M
Restricted cash ----------------0.00%1M0.00%1M-50.00%1M----------1M
Other current assets --235M--221M20.87%249M20.87%249M------------5.64%206M5.64%206M----
Total current assets 15.19%3.6B9.26%3.34B5.50%3.32B5.50%3.32B9.31%3.11B10.26%3.13B9.88%3.06B14.83%3.14B14.83%3.14B0.92%2.85B
Non current assets
Net PPE 6.25%2.46B-1.16%2.29B0.53%2.46B0.53%2.46B5.24%2.41B-0.90%2.32B-3.29%2.32B-5.13%2.44B-5.13%2.44B-7.85%2.29B
-Gross PPE 6.12%5.6B3.03%5.4B4.45%5.54B4.45%5.54B6.89%5.4B3.16%5.28B1.35%5.24B-0.86%5.3B-0.86%5.3B-3.18%5.05B
-Accumulated depreciation -6.01%-3.14B-6.37%-3.11B-7.80%-3.08B-7.80%-3.08B-8.25%-2.99B-6.59%-2.96B-5.38%-2.92B-3.10%-2.86B-3.10%-2.86B-1.06%-2.77B
Goodwill and other intangible assets -0.75%4.51B-0.53%4.52B0.13%4.54B0.13%4.54B0.58%4.51B-0.15%4.54B-1.17%4.54B-1.78%4.53B-1.78%4.53B-3.09%4.49B
-Goodwill -0.25%4.02B-0.10%4.02B0.55%4.04B0.55%4.04B1.06%4.01B0.35%4.03B-0.72%4.02B-1.33%4.01B-1.33%4.01B-2.75%3.97B
-Other intangible assets -4.68%489M-3.86%498M-3.07%505M-3.07%505M-3.06%507M-3.93%513M-4.60%518M-5.10%521M-5.10%521M-5.60%523M
Non current deferred assets -38.46%32M-35.59%38M-14.81%46M-14.81%46M-57.55%45M-55.93%52M-60.40%59M-70.65%54M-70.65%54M-47.52%106M
Other non current assets -61.54%75M12.82%220M-13.58%70M-13.58%70M-56.22%88M-7.58%195M-3.47%195M-24.30%81M-24.30%81M-9.05%201M
Total non current assets -0.41%7.08B-0.66%7.07B0.00%7.11B0.00%7.11B-0.40%7.06B-1.52%7.11B-3.13%7.12B-4.95%7.11B-4.95%7.11B-6.02%7.08B
Total assets 4.36%10.68B2.32%10.41B1.69%10.43B1.69%10.43B2.39%10.17B1.80%10.23B0.44%10.17B0.35%10.26B0.35%10.26B-4.13%9.93B
Liabilities
Current liabilities
Payables 9.70%1.05B11.37%1.05B3.96%1.05B3.96%1.05B11.41%967M9.98%959M12.02%941M27.36%1.01B27.36%1.01B20.06%868M
-accounts payable 10.22%971M9.92%964M2.08%982M2.08%982M10.10%894M8.23%881M12.87%877M31.42%962M31.42%962M25.70%812M
-Total tax payable 3.85%81M31.25%84M41.67%68M41.67%68M30.36%73M34.48%78M1.59%64M-21.31%48M-21.31%48M-27.27%56M
Current accrued expenses -12.33%64M-28.57%45M-13.33%65M-13.33%65M-14.71%58M-2.67%73M-8.70%63M1.35%75M1.35%75M0.00%68M
Current debt and capital lease obligation 2,308.82%819M524.24%206M643.75%238M643.75%238M0.00%32M3.03%34M-5.71%33M-15.79%32M-15.79%32M128.57%32M
-Current debt --782M--206M--206M--206M---------------------92.86%1M
-Current capital lease obligation 8.82%37M----0.00%32M0.00%32M3.23%32M6.25%34M3.13%33M-3.03%32M-3.03%32M--31M
Other current liabilities 39.26%188M14.45%198M-1.18%168M-1.18%168M-24.88%157M-6.25%135M24.46%173M13.33%170M13.33%170M3.98%209M
Current liabilities 67.23%2.36B21.03%1.7B20.38%1.78B20.38%1.78B5.29%1.45B6.66%1.41B11.79%1.4B18.28%1.48B18.28%1.48B14.32%1.38B
Non current liabilities
Long term debt and capital lease obligation -26.27%3B-14.29%3.49B-15.27%3.6B-15.27%3.6B-8.78%3.88B-4.35%4.07B-5.55%4.07B-1.46%4.25B-1.46%4.25B-0.51%4.25B
-Long term debt -27.88%2.88B-12.59%3.49B-15.91%3.5B-15.91%3.5B-9.02%3.79B-4.32%3.99B-5.68%3.99B-1.54%4.16B-1.54%4.16B-2.39%4.17B
-Long term capital lease obligation 57.14%121M----16.87%97M16.87%97M3.75%83M-6.10%77M1.28%79M2.47%83M2.47%83M--80M
Employee benefits 0.41%735M2.73%753M1.89%756M1.89%756M-14.35%716M-14.88%732M-18.37%733M-19.70%742M-19.70%742M-16.48%836M
Other non current liabilities 24.40%311M84.29%387M37.30%254M37.30%254M30.69%247M26.26%250M-1.41%210M-18.14%185M-18.14%185M-36.36%189M
Total non current liabilities -19.89%4.04B-7.66%4.63B-10.92%4.61B-10.92%4.61B-8.25%4.84B-4.92%5.05B-7.51%5.01B-5.24%5.17B-5.24%5.17B-5.30%5.28B
Total liabilities -0.87%6.4B-1.39%6.32B-3.95%6.39B-3.95%6.39B-5.44%6.29B-2.61%6.46B-3.88%6.41B-0.85%6.65B-0.85%6.65B-1.80%6.66B
Shareholders'equity
Share capital -0.86%463M-0.86%463M-0.43%465M-0.43%465M-0.43%467M-0.85%467M-1.27%467M-2.10%467M-2.10%467M-2.90%469M
-common stock -0.97%408M-0.97%408M-0.49%410M-0.49%410M-0.48%412M-0.96%412M-1.44%412M-2.37%412M-2.37%412M-3.27%414M
-Preferred stock 0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M0.00%55M
Retained earnings 63.87%2.19B67.56%1.94B67.32%1.72B67.32%1.72B61.94%1.49B54.58%1.33B59.86%1.16B70.48%1.03B70.48%1.03B71.72%917M
Paid-in capital -7.83%3.49B-10.12%3.54B-6.71%3.68B-6.71%3.68B-5.70%3.77B-7.28%3.78B-4.41%3.94B-8.02%3.95B-8.02%3.95B-10.62%4B
Gains losses not affecting retained earnings -2.77%-1.86B-3.05%-1.86B0.60%-1.83B0.60%-1.83B12.36%-1.85B9.24%-1.81B3.11%-1.81B1.18%-1.84B1.18%-1.84B-10.47%-2.11B
Total stockholders'equity 13.30%4.28B8.64%4.09B12.11%4.04B12.11%4.04B18.30%3.87B10.35%3.78B8.79%3.76B2.65%3.6B2.65%3.6B-8.55%3.27B
Total equity 13.30%4.28B8.64%4.09B12.11%4.04B12.11%4.04B18.30%3.87B10.35%3.78B8.79%3.76B2.65%3.6B2.65%3.6B-8.55%3.27B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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