RTXUSIndustrials
RTX Corporation
📊 Aerospace & Defense
Day $173
$176 Oversold
52W $124
$214 Neutral
$173.00
▼ $0.38 (-0.22%)
Vol: 1,950,526 · Avg: 5,997,437
As of April 28, 2026 · 16:24 ET
COMPOSITE RISK SCORE
52 MODERATE
VAL:16/25 · FIN:10/25 · GRO:18/25 · TECH:8/25
📈 P/E RATIO
32.5x
Trailing
📖 P/B RATIO
3.6x
Price to Book
💰 EPS
$5.32
TTM
🏛 MARKET CAP
$233.0B
Large Cap
📊 ROE
11.6%
Return on Equity
📈 REV GROWTH
8.7%
YoY
🏢 Company Analysis · RTX Corporation
💼 BUSINESS MODEL
  • RTX Corporation, an aerospace and defense company, provides systems and services for commercial, military, and government customers worldwide..
  • It operates through three segments: Collins Aerospace (Collins), Pratt & Whitney, and Raytheon..
  • The Collins segment offers aerospace and defense products, and aftermarket services for civil and military aircraft manufacturers and commercial airlines, as well as regional, business, and general aviation, defense, and commercial space operations..
  • This segment designs, manufactures, and supplies electric power generation and management and distribution, environmental control, flight control, air data and aircraft sensing, engine control, and engine nacelle systems, as well as engine components; cabin interiors, including seating, oxygen, food and beverage preparation, storage and galley, lavatory, and wastewater management systems; connected aviation solutions and services; and systems solutions for connected battlespace, test and training range systems, crew escape systems, and simulation and training..
  • Operates in Aerospace & Defense within the Industrials sector.
  • Workforce of 180,000 employees.
🏰 MOAT & COMPETITION
  • Mega-cap ($233B) — dominant market position with significant scale advantages.
🚀 CATALYSTS
  • How The RTX (RTX) Investment Story Is Shifting As Analysts Reassess Risk And Upside (Simply Wall St.)
  • Earnings growth of 32% signals execution on profitability.
⚖️ ASYMMETRY CHECK
  • Analyst target range: $179 — $242 (mean $215, 22 analysts).
  • Favorable asymmetry — upside potential of +40% vs downside floor of +3% (11.5x reward-to-risk).
  • P/E of 32.5x — fair value territory; catalysts needed for re-rating.
🔭 FUTURE OUTLOOK
  • Analyst consensus: Buy (22 analysts).
  • Latest quarter earnings grew 34% YoY — positive trajectory.
VALUATION
16/25
25% WEIGHT
  • P/E at 33x
  • P/B at 3.6x
  • Analyst target: $215.20 (+24.4%)
  • 1Y return: +41.0%
FINANCIAL HEALTH
10/25
25% WEIGHT
  • ROE: 11.6%
  • Profit margin: 8.0%
  • Revenue growth: 8.7%
  • Debt/Equity: 57%
GROWTH
18/25
25% WEIGHT
  • Revenue growth: 8.7%
  • Earnings growth: 32.5%
  • Beta: 0.43
  • Sector: Industrials
TECHNICAL
8/25
25% WEIGHT
  • RSI, MACD, MA crossovers
  • 200 DMA & 50 EMA position
  • Volume trend analysis
  • Price momentum signals
📈 Price Movement
🕯 Candlestick Chart
🎯 Price Prediction · Analyst Target Cone
📉 Valuation Trends (at current CMP)
89.2 74.3 59.5 44.6 29.7 2022 2023 2024 2025 2022: 49.4 2023: 77.6 2024: 48.7 2025: 34.9 34.9
💎 Valuation & Financial Metrics
P/E RATIO
32.5x
Trailing twelve months
P/B RATIO
3.6x
Price to Book value
ROE
11.6%
Return on Equity
PROFIT MARGIN
8.0%
Net profit margin
OPM
13.2%
Operating profit margin
ANALYST TARGET
$215.20
Range: $179.00 - $242.00
PEG RATIO
2.43
Price/Earnings to Growth
EV/EBITDA
17.5x
Enterprise value ratio
CURRENT RATIO
1.02
Liquidity measure
DIVIDEND YIELD
1.57%
Annual yield
ROA
4.1%
Return on Assets
GROSS MARGIN
20.2%
Gross profit margin
SECTOR BENCHMARKS — AEROSPACE & DEFENSE
P/E (fair) 30.0x (sector mid)
P/B (fair) 5.0x (sector mid)
ROE (good) 20% (sector target)
OPM (good) 20% (sector target)
D/E comfort <30 (sector)
📋 Quarterly Performance Trend
QuarterRevenueQoQ %Net ProfitQoQ %Op. Cash FlowEBITDA Margin
Q1 '25 $20.3B $1.5B $1.3B 17.3%
Q2 '25 $21.6B+6.3% $1.7B+7.9% $458.0M 16.7%
Q3 '25 $22.5B+4.2% $1.9B+15.8% $4.6B 17.8%
Q4 '25 $24.2B+7.8% $1.6B-15.4% $4.2B 15.8%
Q1 '26 $22.1B-8.9% $2.1B+26.9% $1.9B 18.1%
📊 Year-on-Year Trend
FYRevenueYoY %Net ProfitYoY %Op. Cash FlowYoY %
2021 N/A N/A N/A
2022 $67.1B $5.2B $7.2B
2023 $68.9B+2.8% $3.2B-38.5% $7.9B+10.0%
2024 $80.7B+17.1% $4.8B+49.4% $7.2B-9.2%
2025 $88.6B+9.7% $6.7B+41.0% $10.6B+47.6%
📈 Revenue vs Earnings
💰 How RTX Corporation Makes Its Money
Revenue $22.1B Cost of Revenue $17.5B Gross Profit $4.6B R&D $627M SG&A $1.5B Operating Inc. $2.6B Tax $363M Interest $406M Other $347M Net Income $2.1B (9.3% margin) Mar 2026 · All values in $ Millions
🏦 Snapshot of RTX Corporation's Balance Sheet
Total Assets $170.4B Cash & Equiv.: $6.8B (4.0%) Receivables: $12.9B (7.6%) Inventory: $14.2B (8.3%) Other Current: $26.1B (15.3%) PP&E: $18.6B (10.9%) Goodwill: $53.3B (31.3%) Other Intangibles: $31.5B (18.5%) Other Non-Curr.: $7.0B (4.1%) Liab. + Equity $170.4B Current Liab.: $58.6B (34.4%) Long-Term Debt: $33.0B (19.3%) Other Liab.: $10.8B (6.4%) Equity: $68.0B (39.9%) As of Mar 2026 · All values in $ Millions
💸 Looking into RTX Corporation's Cash Flow
Operating CF $1.9B Capital Exp. $644M Free Cash Flow $1.2B Dividends $915M Debt Repaid $500M FY2026 · All values in $ Millions
🎯 EPS: Estimate vs Actual
📅 Quarterly Results Source: Yahoo Finance ↗
ItemMar '26Dec '25Sep '25Jun '25Mar '25
Total Revenue$22.08B$24.24B$22.48B$21.58B$20.31B
Cost of Revenue$17.48B$19.52B$17.90B$17.20B$16.19B
Gross Profit$4.59B$4.72B$4.58B$4.38B$4.12B
Operating Expense$2.04B$2.12B$2.06B$2.23B$2.08B
Operating Income$2.56B$2.60B$2.52B$2.15B$2.04B
Interest Expense$406.0M$370.0M$483.0M$480.0M$502.0M
Pretax Income$2.52B$2.30B$2.44B$2.04B$1.96B
Tax Provision$363.0M$584.0M$432.0M$315.0M$333.0M
Net Income$2.06B$1.62B$1.92B$1.66B$1.53B
EBITDA$4.00B$3.83B$4.01B$3.60B$3.51B
EPS (Basic)$1.53$1.21$1.43$1.24$1.15
EPS (Diluted)$1.51$1.19$1.41$1.22$1.14
Shares Outstanding1.36B1.36B1.36B1.35B1.35B
📊 Profit & Loss Statement Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22Dec '21
Total Revenue$88.60B$80.74B$68.92B$67.07B
Cost of Revenue$70.81B$65.33B$56.83B$53.41B
Gross Profit$17.79B$15.41B$12.09B$13.67B
Operating Expense$8.49B$8.87B$8.53B$8.16B
Operating Income$9.30B$6.54B$3.56B$5.50B
Interest Expense$1.83B$1.97B$1.65B$1.30B
Pretax Income$8.73B$6.19B$3.84B$6.12B
Tax Provision$1.66B$1.18B$456.0M$790.0M
Net Income$6.73B$4.77B$3.19B$5.20B
EBITDA$14.95B$12.53B$9.70B$11.53B
EPS (Basic)$5.02$3.58$2.24$3.52
EPS (Diluted)$4.96$3.55$2.23$3.50
Shares Outstanding1.36B1.34B1.44B1.49B
🏦 Balance Sheet Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22Dec '21
Total Assets$171.08B$162.86B$161.87B$158.86B
Current Assets$60.33B$51.13B$48.42B$42.44B
Cash & Equivalents$7.43B$5.58B$6.59B$6.22B
Accounts Receivable$14.70B$10.98B$10.84B$9.11B
Inventory$13.36B$12.77B$11.78B$10.62B
Non-Current Assets$110.75B$111.73B$113.45B$116.42B
Property Plant & Equip$18.75B$17.95B$17.39B$17.00B
Goodwill$53.34B$52.79B$53.70B$53.84B
Intangible Assets$85.19B$86.23B$89.10B$90.66B
Total Liabilities$103.94B$100.90B$100.42B$84.65B
Current Liabilities$58.78B$51.50B$46.76B$39.11B
Accounts Payable$15.89B$12.90B$10.70B$9.90B
Short-Term Debt$3.62B$2.54B$1.47B$1.22B
Long-Term Debt$34.29B$38.73B$42.35B$30.69B
Total Equity$67.14B$61.96B$61.45B$74.21B
Retained Earnings$56.72B$53.59B$52.15B$52.27B
Book Value/Share-19.94B-26.08B-29.30B-18.03B
💰 Cash Flow Statement Source: Yahoo Finance ↗
ItemDec '25Dec '24Dec '23Dec '22Dec '21
Operating Cash Flow$10.57B$7.16B$7.88B$7.17B
Depreciation & Amort.$4.38B$4.36B$4.21B$4.11B
Change in Working Cap$-1.27B$-1.08B$1.51B$522.0M
Capital Expenditure$-3.12B$-3.24B$-3.17B$-2.77B
Free Cash Flow$7.45B$3.92B$4.72B$4.39B
Investing Cash Flow$-1.26B$-1.53B$-3.04B$-2.83B
Acquisitions$0$0$-66.0M$-1.09B
Financing Cash Flow$-7.49B$-6.62B$-4.53B$-5.86B
Debt Issued$0$0$22.91B$1.0M
Debt Repaid$-3.43B$-2.50B$-10.58B$-3.0M
Dividends Paid$-3.57B$-3.22B$-3.24B$-3.13B
Share Buyback$-50.0M$-444.0M$-12.87B$-2.80B
Net Change in Cash$1.82B$-992.0M$317.0M$-1.52B
📈 Key Financial Ratios
RatioFY2025FY2024FY2023FY2022FY2021
Gross Margin %20.1%19.1%17.5%20.4%
Operating Margin %10.5%8.1%5.2%8.2%
Net Margin %7.6%5.9%4.6%7.7%
EBITDA Margin %16.9%15.5%14.1%17.2%
ROE %10.0%7.7%5.2%7.0%
ROA %3.9%2.9%2.0%3.3%
Debt/Equity %58.8%69.2%73.6%45.1%
Current Ratio1.030.991.041.09
FCF Margin %8.4%4.9%6.8%6.5%
Asset Turnover0.520.500.430.42
🚀 Compounded Growth Rates
Revenue
1-Year+9.7%
3-Year CAGR+13.4%
Net Profit
1-Year+41.0%
3-Year CAGR+45.2%
EPS
1-Year+39.7%
3-Year CAGR+49.1%
🏭 Industry Peers — Aerospace & Defense
TickerCompanyPriceP/EP/BMCapROEMarginRev Growth
CATCaterpillar, Inc.$816.1043.417.8$379.7B43.5%13.1%18.0%
HONHoneywell International Inc.$212.4933.99.9$134.6B24.3%10.9%2.4%
UNPUnion Pacific Corporation$269.7922.28.7$160.2B40.7%29.2%3.2%
BABoeing Company (The)$228.4590.730.1$180.1B169.9%2.5%14.0%
DEDeere & Company$565.1631.95.8$152.7B19.6%10.3%-11.1%
GEGE Aerospace$285.5635.516.0$298.4B45.4%17.9%24.7%
LMTLockheed Martin Corporation$509.8524.717.4$117.6B67.6%6.4%0.3%
MMM3M Company$145.6128.123.3$75.9B71.5%11.1%1.3%

Peers selected from Industrials sector · Data from Yahoo Finance

🏛 Shareholding Pattern
TOP HOLDERS
HolderTypeShares% Held
Vanguard Group IncInst124,986,1719.28%
Blackrock Inc.Inst104,920,1467.79%
State Street CorporationInst91,884,5886.82%
Capital Research Global InvestorsInst76,140,3525.65%
Capital International InvestorsInst44,512,3093.31%
VANGUARD INDEX FUNDS-Vanguard TotalMF42,134,6873.13%
VANGUARD INDEX FUNDS-Vanguard 500 IMF33,811,6022.51%
Dodge & Cox Funds-Dodge & Cox StockMF25,204,6001.87%
🟢 CATALYSTS
🏆Positive Revenue Growth: Revenue growing at 8.7% YoY.
💹Analyst Upside (24%): Mean target of $215.20 above current price.
🔀Low Beta (0.43): Less volatile than market — defensive play.
🇺Earnings Growth (32%): Above sector norm — strong profit expansion.
🔴 RISKS
📜Market Risk: Broader market correction or sentiment shift could impact stock.
💰Sector Risk: Regulatory or competitive changes in Industrials space.
🔓Execution Risk: Growth may not meet elevated expectations.
🕸 Factor Analysis · Radar
Momentum 4/10: 1M -7.6%, 6M -2.5%, RSI 23, MACD bearish, Below 200DMA Sentiment 8/10: Analyst upside +24.4%, Rec: buy Value 4/10: P/E 32.5, P/B 3.6, PEG 2.43, EV/EBITDA 17.5 Quality 5/10: ROE 11.6%, Margin 8.0%, D/E 57, CR 1.02 Low Volatility 10/10: Beta 0.43, Ann. vol 23% Momentum 4 Sentiment 8 Value 4 Quality 5 Low Vol 10
Momentum 4/10
1M -7.6%, 6M -2.5%, RSI 23, MACD bearish, Below 200DMA
Sentiment 8/10
Analyst upside +24.4%, Rec: buy
Value 4/10
P/E 32.5, P/B 3.6, PEG 2.43, EV/EBITDA 17.5
Quality 5/10
ROE 11.6%, Margin 8.0%, D/E 57, CR 1.02
Low Volatility 10/10
Beta 0.43, Ann. vol 23%
🎯 Decision Matrix — Game Theory
ActionIf Stock RisesIf Stock Falls
BUYCapture 24.4% analyst upsideOPM of 13% provides margin buffer
HOLDRetain existing position; wait for better entryMiss further upside if momentum continues
SELLLock in +41.0% 1Y returnAvoid further drawdown
REASONS TO BUY
  • Analyst upside of 24.4% with mean target of $215.20
  • Revenue growing at 8.7% YoY (sector norm: 6%)
REASONS TO SELL / AVOID
  • 1Y return of +41.0% — profit booking opportunity
RECOMMENDATION
HOLD
COMPOSITE SCORE
52/100
RTX Corporation trades at $173.00 with a composite risk score of 52/100. The stock scores 16/25 on valuation, 10/25 on financial health, 18/25 on growth, and 8/25 on technicals. The company is currently profitable with moderate return on equity.

Analyst consensus suggests upside of 24.4% with a mean target of $215.20. Revenue growth is at 8.7%.

Bottom Line: Neutral for Industrials — wait for better entry or catalyst. The current recommendation is HOLD.
UPSIDE POTENTIAL