US Stock MarketDetailed Quotes

LMT Lockheed Martin

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  • 570.625
  • +2.355+0.41%
Trading Sep 13 13:03 ET
136.01BMarket Cap20.71P/E (TTM)

Lockheed Martin 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 24, 2023
(Q2)Jun 25, 2023
(Q1)Mar 26, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 25, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
70.55%1.88B
4.54%1.64B
1.51%7.92B
22.67%2.37B
-7.72%2.89B
-17.36%1.1B
10.92%1.56B
-15.39%7.8B
-54.83%1.93B
61.74%3.13B
Net income from continuing operations
-2.38%1.64B
-8.53%1.55B
20.73%6.92B
-2.41%1.87B
-5.29%1.68B
444.01%1.68B
-2.54%1.69B
-9.23%5.73B
-6.69%1.91B
189.58%1.78B
Operating gains losses
----
----
-94.14%92M
----
----
----
----
-7.70%1.57B
177.78%100M
--0
Depreciation and amortization
7.49%359M
8.00%351M
1.85%1.43B
-4.10%421M
19.45%350M
-2.62%334M
-1.22%325M
2.93%1.4B
20.27%439M
-10.94%293M
Deferred tax
41.88%-68M
34.19%-77M
34.21%-498M
52.53%-103M
-40.00%-161M
70.30%-117M
-277.42%-117M
-313.66%-757M
-517.31%-217M
55.60%-115M
Other non cash items
4.68%246M
43.39%-304M
-115.52%-95M
-152.86%-74M
-24.46%281M
-46.35%235M
-58.88%-537M
6,020.00%612M
177.78%140M
118.82%372M
Change In working capital
57.04%-482M
-59.86%59M
80.54%-194M
124.34%119M
-11.02%662M
-22.62%-1.12B
143.62%147M
-368.08%-997M
-125.63%-489M
215.53%744M
-Change in receivables
20.06%-530M
-4.53%-992M
78.43%-492M
11,683.33%695M
26.11%425M
-33.40%-663M
55.13%-949M
-123.85%-2.28B
-100.25%-6M
136.31%337M
-Change in inventory
770.37%181M
61.88%-146M
58.88%-44M
620.00%180M
-41.51%186M
90.59%-27M
-134.97%-383M
-118.97%-107M
132.05%25M
47.22%318M
-Change in payables and accrued expense
-238.33%-249M
6.90%1.3B
-98.73%18M
-210.86%-1.63B
136.45%253M
158.82%180M
-43.29%1.22B
2,783.02%1.42B
31.01%-525M
257.35%107M
-Change in other working capital
118.95%116M
-139.69%-104M
1,145.16%324M
5,052.94%876M
-1,022.22%-202M
-449.71%-612M
227.80%262M
-110.51%-31M
-94.77%17M
-113.24%-18M
Cash from discontinued investing activities
Operating cash flow
70.55%1.88B
4.54%1.64B
1.51%7.92B
22.67%2.37B
-7.72%2.89B
-17.36%1.1B
10.92%1.56B
-15.39%7.8B
-54.83%1.93B
61.74%3.13B
Investing cash flow
Cash flow from continuing investing activities
-11.38%-372M
-43.63%-372M
5.31%-1.69B
13.00%-703M
0.00%-398M
-0.60%-334M
-3.19%-259M
-54.09%-1.79B
-49.08%-808M
-73.04%-398M
Capital expenditure reported
-12.46%-370M
-28.57%-378M
-1.26%-1.69B
-1.59%-704M
10.12%-364M
-8.22%-329M
-9.70%-294M
-9.72%-1.67B
-14.17%-693M
-28.16%-405M
Net other investing changes
60.00%-2M
-82.86%6M
97.48%-3M
100.87%1M
-585.71%-34M
82.14%-5M
105.88%35M
-132.96%-119M
-276.92%-115M
-91.86%7M
Cash from discontinued investing activities
Investing cash flow
-11.38%-372M
-43.63%-372M
5.31%-1.69B
13.00%-703M
0.00%-398M
-0.60%-334M
-3.19%-259M
-54.09%-1.79B
-49.08%-808M
-73.04%-398M
Financing cash flow
Cash flow from continuing financing activities
-479.23%-1.77B
106.02%85M
-3.69%-7.33B
-275.97%-3.77B
-25.72%-2.62B
142.19%467M
50.97%-1.41B
7.17%-7.07B
64.79%-1B
-20.58%-2.08B
Net issuance payments of debt
-108.51%-168M
--1.98B
-53.04%1.86B
--0
---115M
--1.98B
--0
892.20%3.96B
--3.94B
--0
Net common stock issuance
-13.33%-850M
-100.00%-1B
24.05%-6B
28.67%-3B
-30.79%-1.75B
-110.67%-750M
75.00%-500M
-93.30%-7.9B
-101.53%-4.21B
-167.60%-1.34B
Cash dividends paid
0.79%-752M
0.51%-780M
-1.33%-3.06B
-0.13%-767M
-1.08%-747M
-1.88%-758M
-2.22%-784M
-2.59%-3.02B
-0.52%-766M
-2.92%-739M
Net other financing activities
---1M
10.16%-115M
-17.39%-135M
-116.00%-4M
0.00%-3M
--0
-13.27%-128M
-29.21%-115M
--25M
57.14%-3M
Cash from discontinued financing activities
Financing cash flow
-479.23%-1.77B
106.02%85M
-3.69%-7.33B
-275.97%-3.77B
-25.72%-2.62B
142.19%467M
50.97%-1.41B
7.17%-7.07B
64.79%-1B
-20.58%-2.08B
Net cash flow
Beginning cash position
14.34%2.79B
-43.38%1.44B
-29.33%2.55B
46.13%3.55B
106.93%3.67B
29.58%2.44B
-29.33%2.55B
14.05%3.6B
-10.89%2.43B
-35.34%1.78B
Current changes in cash
-121.65%-267M
1,359.81%1.35B
-4.54%-1.11B
-1,902.56%-2.11B
-118.63%-122M
1,241.67%1.23B
93.78%-107M
-338.06%-1.06B
-86.66%117M
3,738.89%655M
End cash Position
-31.31%2.52B
14.34%2.79B
-43.38%1.44B
-43.38%1.44B
46.13%3.55B
106.93%3.67B
29.58%2.44B
-29.33%2.55B
-29.33%2.55B
-10.89%2.43B
Free cash flow
95.33%1.51B
-1.02%1.26B
1.58%6.23B
34.49%1.66B
-7.37%2.53B
-24.93%771M
11.21%1.27B
-20.35%6.13B
-66.27%1.24B
68.29%2.73B
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
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 24, 2023(Q2)Jun 25, 2023(Q1)Mar 26, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 25, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 70.55%1.88B4.54%1.64B1.51%7.92B22.67%2.37B-7.72%2.89B-17.36%1.1B10.92%1.56B-15.39%7.8B-54.83%1.93B61.74%3.13B
Net income from continuing operations -2.38%1.64B-8.53%1.55B20.73%6.92B-2.41%1.87B-5.29%1.68B444.01%1.68B-2.54%1.69B-9.23%5.73B-6.69%1.91B189.58%1.78B
Operating gains losses ---------94.14%92M-----------------7.70%1.57B177.78%100M--0
Depreciation and amortization 7.49%359M8.00%351M1.85%1.43B-4.10%421M19.45%350M-2.62%334M-1.22%325M2.93%1.4B20.27%439M-10.94%293M
Deferred tax 41.88%-68M34.19%-77M34.21%-498M52.53%-103M-40.00%-161M70.30%-117M-277.42%-117M-313.66%-757M-517.31%-217M55.60%-115M
Other non cash items 4.68%246M43.39%-304M-115.52%-95M-152.86%-74M-24.46%281M-46.35%235M-58.88%-537M6,020.00%612M177.78%140M118.82%372M
Change In working capital 57.04%-482M-59.86%59M80.54%-194M124.34%119M-11.02%662M-22.62%-1.12B143.62%147M-368.08%-997M-125.63%-489M215.53%744M
-Change in receivables 20.06%-530M-4.53%-992M78.43%-492M11,683.33%695M26.11%425M-33.40%-663M55.13%-949M-123.85%-2.28B-100.25%-6M136.31%337M
-Change in inventory 770.37%181M61.88%-146M58.88%-44M620.00%180M-41.51%186M90.59%-27M-134.97%-383M-118.97%-107M132.05%25M47.22%318M
-Change in payables and accrued expense -238.33%-249M6.90%1.3B-98.73%18M-210.86%-1.63B136.45%253M158.82%180M-43.29%1.22B2,783.02%1.42B31.01%-525M257.35%107M
-Change in other working capital 118.95%116M-139.69%-104M1,145.16%324M5,052.94%876M-1,022.22%-202M-449.71%-612M227.80%262M-110.51%-31M-94.77%17M-113.24%-18M
Cash from discontinued investing activities
Operating cash flow 70.55%1.88B4.54%1.64B1.51%7.92B22.67%2.37B-7.72%2.89B-17.36%1.1B10.92%1.56B-15.39%7.8B-54.83%1.93B61.74%3.13B
Investing cash flow
Cash flow from continuing investing activities -11.38%-372M-43.63%-372M5.31%-1.69B13.00%-703M0.00%-398M-0.60%-334M-3.19%-259M-54.09%-1.79B-49.08%-808M-73.04%-398M
Capital expenditure reported -12.46%-370M-28.57%-378M-1.26%-1.69B-1.59%-704M10.12%-364M-8.22%-329M-9.70%-294M-9.72%-1.67B-14.17%-693M-28.16%-405M
Net other investing changes 60.00%-2M-82.86%6M97.48%-3M100.87%1M-585.71%-34M82.14%-5M105.88%35M-132.96%-119M-276.92%-115M-91.86%7M
Cash from discontinued investing activities
Investing cash flow -11.38%-372M-43.63%-372M5.31%-1.69B13.00%-703M0.00%-398M-0.60%-334M-3.19%-259M-54.09%-1.79B-49.08%-808M-73.04%-398M
Financing cash flow
Cash flow from continuing financing activities -479.23%-1.77B106.02%85M-3.69%-7.33B-275.97%-3.77B-25.72%-2.62B142.19%467M50.97%-1.41B7.17%-7.07B64.79%-1B-20.58%-2.08B
Net issuance payments of debt -108.51%-168M--1.98B-53.04%1.86B--0---115M--1.98B--0892.20%3.96B--3.94B--0
Net common stock issuance -13.33%-850M-100.00%-1B24.05%-6B28.67%-3B-30.79%-1.75B-110.67%-750M75.00%-500M-93.30%-7.9B-101.53%-4.21B-167.60%-1.34B
Cash dividends paid 0.79%-752M0.51%-780M-1.33%-3.06B-0.13%-767M-1.08%-747M-1.88%-758M-2.22%-784M-2.59%-3.02B-0.52%-766M-2.92%-739M
Net other financing activities ---1M10.16%-115M-17.39%-135M-116.00%-4M0.00%-3M--0-13.27%-128M-29.21%-115M--25M57.14%-3M
Cash from discontinued financing activities
Financing cash flow -479.23%-1.77B106.02%85M-3.69%-7.33B-275.97%-3.77B-25.72%-2.62B142.19%467M50.97%-1.41B7.17%-7.07B64.79%-1B-20.58%-2.08B
Net cash flow
Beginning cash position 14.34%2.79B-43.38%1.44B-29.33%2.55B46.13%3.55B106.93%3.67B29.58%2.44B-29.33%2.55B14.05%3.6B-10.89%2.43B-35.34%1.78B
Current changes in cash -121.65%-267M1,359.81%1.35B-4.54%-1.11B-1,902.56%-2.11B-118.63%-122M1,241.67%1.23B93.78%-107M-338.06%-1.06B-86.66%117M3,738.89%655M
End cash Position -31.31%2.52B14.34%2.79B-43.38%1.44B-43.38%1.44B46.13%3.55B106.93%3.67B29.58%2.44B-29.33%2.55B-29.33%2.55B-10.89%2.43B
Free cash flow 95.33%1.51B-1.02%1.26B1.58%6.23B34.49%1.66B-7.37%2.53B-24.93%771M11.21%1.27B-20.35%6.13B-66.27%1.24B68.29%2.73B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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