Lockheed Martin Corp.

Lockheed Martin is a security and aerospace company. The company has four segments: Aeronautics, which researches, designs, develops, manufactures, integrates, sustains, supports and upgrades military aircraft; Missiles and Fire Control, which provides air and missile defense systems, logistics, and fire control systems, among others; Rotary and Mission Systems, which provides design, manufacture, service and support for military and commercial helicopters, radar systems, and simulation and training services, among others; and Space, which researches, designs, develops, engineers and produces satellites, space transportation systems, and strategic, strike, and defensive systems.
  • TickerLMT
  • ISINUS5398301094
  • ExchangeNew York Stock Exchange
  • SectorAerospace & Defense
  • CountryUnited States

Analysts

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

Colin Scarola

Lockheed Martin Corporation

Lockheed Martin Corporation: Update to credit analysis following upgrade to A3

Lockheed Martin remains strongly positioned as a global leader in the defense industry, with strong margins, operating cash flows and improving leverage through funded debt reduction.

Lockheed Martin Corporation - September 2019 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Lockheed Martin Corporation - June 2019 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Lockheed Martin Corporation: Loss of Turkey as F-35 program partner is manageable

Lockheed Martin's credit quality will not be affected by the decision because the company will be able to reallocate the relatively few production slots for Turkey to other buyers.

LOCKHEED MARTIN CORPORATION: Update to credit analysis: capabilities align with DoD priorities, metrics to strengthen

Lockheed Martin remains strongly positioned as a global leader in the defense industry, with improving financial flexibility from reductions in pension underfunding and funded debt.

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

Lockheed Martin Corp: 6 directors sold after exercising options/sold

Six Directors at Lockheed Martin Corp sold after exercising options/sold 48,142 shares at between 432.218USD and 436.121USD. The significance rating of the trade was 82/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly showing Close periods where trading acti...

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

Colin Scarola

Lockheed Martin Corporation

Colin Scarola

Lockheed Martin Corporation

ValuEngine Rating and Forecast Report for LMT

ValuEngine Rating and Forecast Report for LMT

GMR Weekly Notes - 9 July 2018

Markets This Week: Stocks: XPO; GVIP; JPM; AGN; LMT; NVDA Forex: DXY; EURGBP; USDMXN Commodities: Gold (XAU) Rates: EDZ9; 10s/30s.

MarketLine Department

CPI Aerostructures, Inc. - Strategy, SWOT and Corporate Finance Report

Summary CPI Aerostructures, Inc. - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights CPI Aerostructures Inc (CPI Aero)is a contract manufacturer of structural aircraft parts for the US Air Force and other branches of the US Armed Forces. The company functions as a prime contractor, and as a subcontractor to other defense prime contractors. Its product portfolio incl...

MarketLine Department

Aselsan Elektronik Sanayi Ve Ticaret A.S. - Strategy, SWOT and Corporate Finance Report

Summary Aselsan Elektronik Sanayi Ve Ticaret A.S. - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Aselsan Elektronik Sanayi ve Ticaret A.S (AEST) manufactures electronic systems for military and commercial applications. Its product portfolio includes military radios, tactical communication systems, naval combat, and public safety communication systems. The compa...

MarketLine Department

Thales Sa - Mergers & Acquisitions (M&A), Partnerships & Alliances And Investments

Summary Marketline's Thales Sa Mergers & Acquisitions (M&A), Partnerships & Alliances and Investments report includes business description, detailed reports on mergers and acquisitions (M&A), divestments, capital raisings, venture capital investments, ownership and partnership transactions undertaken by Thales Sa since January2007. Marketline's Company Mergers & Acquisitions (M&A), Partnerships & Alliances and Investments reports offer a comprehensive breakdown of the organic and inorganic growth activity undertaken by an organization to sustain its competitive advantage. KeyHighlights Thi...

MarketLine Department

Science Applications International Corp - Strategy, SWOT and Corporate Finance Report

Summary Science Applications International Corp - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Scope - Detailed information on Science Applications International Corp required for business and competitor intelligence needs - A study of the major internal and external factors affecting Science Applications International Corp in the form of a SWOT analysis - An in-depth view ...

MarketLine Department

Astrotech Corporation - Strategy, SWOT and Corporate Finance Report

Summary Astrotech Corporation - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Scope - Detailed information on Astrotech Corporation required for business and competitor intelligence needs - A study of the major internal and external factors affecting Astrotech Corporation in the form of a SWOT analysis - An in-depth view of the business model of Astrotech Corporation includi...

Nirgunan Tiruchelvam

Defence stocks could benefit from Saudi crisis

In our view, the clear winners from the heightened tension in the GCC would include Western defence companies. There is now a dire need to strengthen Saudi’s air defence missile systems. This would be music to the ears of investors in US defence companies – Saudi Arabia accounts for a fifth of US arms sales since 2014.

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

In this product we rank the most positive and negative domestic stocks, filter the symbols by market-cap and trading volume, and then divide the companies into sectors and groups. We then manually look through charts leadership/changes, bottoms-up/top-down ideas, short-term patterns that may have long-term significance, etc. We believe you will find this product valuable as significant price and relative moves begin in the daily charts.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Compass: Weekly Equity Strategy

Bullish Outlook Intact Amid rising Middle East tensions, investors have moved to safe-havens including Treasuries and gold, all while having a muted effect on the US equity market. At this point in time, the rising tensions have done virtually no damage to the bullish trends and indicators that continue to dominate the market. We remain bullish. • 10-Year Treasury. The 10-year yield has fallen to logical support at the uptrend or 1.75%, a level we expect to hold. A breakdown would raise concerns of a deeper pullback for US equities... see chart below. • Gold Testing Key Resistance. Gold pri...

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

Key Points: • Energy Sector names continue to develop price and RS reversals. (ex. OXY, VAL, DO, RIG, SLB, MTDR, SM, MUR, WPX, XEC, JAG, TALO, APA, DVN, and EOG) • Aero-Defense related names are reversing price and RS downtrends. (ex. AVAV, NOC, AJRD, LMT, LHX, HII, and RTN.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Compass: Weekly Equity Strategy

Upgrading Manufacturing The S&P 500 continues to hover below critical resistance at its 200-day moving average while market participants remain in a wait-and-see mode for new developments on U.S.-China trade and whether a deal will be made on border security. At the same time, breadth improvements have extended to our Manufacturing Sector - a welcomed sight given its cyclical nature. • Upgrading Manufacturing to market weight. Our cap-weighted Manufacturing Sector has steadily improved in our RSR ranks due in large part to strength in Aerospace & Defense Groups... see charts below and page 2...

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