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Financial Analysis - Northrop Grumman Corporation is a global security company. The Company provides systems, products, and solutions in aerospace, electronics, information systems and technical services
Citation preview
24.04.2013
Ticker: Northrop Grumman Corp Benchmark:
Currency: New York: NOC, Currency: USD S&P 500 INDEX (SPX)
Sector: Industrials Industry: Aerospace & Defense Year:
Telephone 1-703-280-2900 Revenue (M) Business Segments in USD Sales (M) Geographic Segments in USD Sales (M)
Website www.northropgrumman.com No of Employees Aerospace Systems 9977 United States 23618
Address 2980 Fairview Park Drive Falls Church, VA 22042 United States Information Systems 7356 Foreign Sales 1600
Share Price Performance in USD Electronic Systems 6950
Price 71.49 1M Return 5.1% Technical Services 3019
52 Week High 72.67 6M Return 4.9% Intersegment eliminations -2084
52 Week Low 55.20 52 Wk Return 17.9% Shipbuilding
52 Wk Beta 0.84 YTD Return 6.7%
Credit Ratings
Bloomberg IG5
S&P BBB+ Date 12.08.2005 Outlook STABLE
Moody's Baa2 Date - Outlook STABLE
Fitch BBB+ Date 26.08.2005 Outlook STABLE
Valuation Ratios
12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
P/E 10.4x 11.2x 9.0x 9.0x 10.2x 9.8x 9.0x
EV/EBIT 7.3x 7.0x 4.8x 5.2x - - -
EV/EBITDA 5.6x 5.9x 4.1x 4.5x 5.3x 5.3x 5.1x
P/S 0.5x 0.7x 0.6x 0.7x 0.7x 0.7x 0.7x
P/B 1.4x 1.4x 1.4x 1.7x 1.8x 1.7x 1.6x
Div Yield 3.0% 2.8% 3.4% 3.2% 3.2% 3.5% 3.8%
Profitability Ratios %
12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
Gross Margin 16.7 18.8 21.3 22.1 - - -
EBITDA Margin 9.5 12.0 14.5 14.4 13.4 13.7 14.6
Operating Margin 7.4 10.0 12.4 12.4 11.2 11.3 12.0
Profit Margin 5.0 7.3 8.0 7.8 7.0 7.1 7.6
Return on Assets 5.6 6.7 7.5 7.6 6.3 6.3 -
Return on Equity 13.7 15.7 17.8 19.9 17.2 16.9 -
Leverage and Coverage Ratios
12/09 12/10 12/11 12/12
Current Ratio 1.2 1.4 1.3 1.4 Current Capitalization in USD
Quick Ratio 1.0 0.7 1.0 1.1 Common Shares Outstanding (M) 239.2
EBIT/Interest 8.8 10.5 14.8 14.8 Market Capitalization (M) 16834.0
Tot Debt/Capital 0.3 0.3 0.3 0.3 Cash and ST Investments (M) 3862.0
Tot Debt/Equity 0.3 0.4 0.4 0.4 Total Debt (M) 3935.0
Eff Tax Rate % 30.6 19.5 32.3 33.3 Preferred Equity (M) 0.0
LT Investments in Affiliate Companies (M) 0.0
Investments (M) 0.0
Enterprise Value (M) 16907.0
Northrop Grumman Corporation is a global security company. The Company provides
systems, products, and solutions in aerospace, electronics, information systems and
technical services to government and commercial customers worldwide.
NOC US
25'218
68'100
Company Analysis - Overview
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Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
Northrop Grumman Corp
Target price in USD
Date Buy Hold Sell Date Price Target Price Broker Analyst Recommendation Target Date
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Company Analysis - Analysts Ratings
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Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
24.04.2013
Northrop Grumman Corp
Ownership Statistics Geographic Ownership Distribution
Shares Outstanding (M) 239.2 United States 87.23%
Float 99.4% Britain 4.22%
Short Interest (M) 10.0 Germany 1.64%
Short Interest as % of Float 4.20% Canada 1.52%
Days to Cover Shorts 6.98 Japan 1.09%
Institutional Ownership 112.77% France 1.00%
Retail Ownership -13.36% Luxembourg 0.84%
Insider Ownership 0.59% Others 2.48%
Institutional Ownership Distribution
Investment Advisor 87.32%
Hedge Fund Manager 7.07%
Pension Fund (Erisa) 2.53%
Insurance Company 1.40%
Pricing data is in USD Others 1.68%
Top 20 Owners:
Holder Name Position Position Change Market Value % of Ownership Report Date Source Country
STATE STREET 29'466'273 -2'149'144 2'106'543'857 12.51% 23.04.2013 ULT-AGG UNITED STATES
BLACKROCK 20'469'117 0 1'463'337'174 8.69% 22.04.2013 ULT-AGG UNITED STATES
CAPITAL GROUP COMPAN 19'563'613 -6'390'166 1'398'602'693 8.31% 31.03.2013 ULT-AGG UNITED STATES
VANGUARD GROUP INC 11'372'246 199'000 813'001'867 4.83% 31.03.2013 13F UNITED STATES
SUN LIFE FINANCIAL I 7'627'933 -219'648 545'320'930 3.24% 28.02.2013 ULT-AGG CANADA
FIRST EAGLE INVESTME 6'267'995 6'512 448'098'963 2.66% 31.12.2012 13F UNITED STATES
HARRIS ASSOCIATES LP 5'977'000 -900 427'295'730 2.54% 31.12.2012 13F UNITED STATES
ALLIANZ ASSET MANAGE 5'543'660 -149'126 396'316'253 2.35% 31.03.2013 ULT-AGG GERMANY
BANK OF NEW YORK MEL 5'254'288 111'814 375'629'049 2.23% 31.03.2013 13F UNITED STATES
LSV ASSET MANAGEMENT 4'488'460 -219'325 320'880'005 1.91% 31.12.2012 13F UNITED STATES
WELLINGTON MANAGEMEN 4'218'108 154'526 301'552'541 1.79% 31.12.2012 13F UNITED STATES
DEUTSCHE BANK AG 3'970'675 -1'315'317 283'863'556 1.69% 31.12.2012 13F GERMANY
LONGVIEW PARTNERS (G 3'950'402 -55'410 282'414'239 1.68% 31.12.2012 13F BRITAIN
PZENA INVESTMENT MAN 3'852'775 -1'167'948 275'434'885 1.64% 31.12.2012 13F UNITED STATES
ACADIAN ASSET MANAGE 3'539'674 430'959 253'051'294 1.50% 31.03.2013 13F UNITED STATES
MACQUARIE GROUP 3'516'486 2'333 251'393'584 1.49% 31.12.2012 ULT-AGG AUSTRALIA
AJO, LP 3'408'670 -82'120 243'685'818 1.45% 31.12.2012 13F UNITED STATES
PUTNAM INVESTMENT MA 3'329'094 13'385 237'996'930 1.41% 31.12.2012 13F UNITED STATES
AMERIPRISE FINANCIAL 3'291'589 164'030 235'315'698 1.40% 31.12.2012 13F UNITED STATES
NORTHERN TRUST CORPO 3'120'280 -30'026 223'068'817 1.33% 31.12.2012 13F UNITED STATES
Top 5 Insiders:
Holder Name Position Position Change Market Value % of Ownership Report Date Source
BUSH WESLEY G 443'585 31'711'892 0.19% 27.02.2013 Form 4
SUGAR RONALD D 409'000 29'239'410 0.17% 13.11.2009 Form 4
PALMER JAMES F 144'928 28'922 10'360'903 0.06% 20.02.2013 Form 4
MILLS LINDA A 70'415 5'033'968 0.03% 20.02.2013 Form 4
LIVANOS ALEXIS C 39'638 13'117 2'833'721 0.02% 14.02.2012 Form 4
Company Analysis - Ownership
Ownership Type
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Geographic Ownership
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TOP 20 ALL
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
Northrop Grumman Corp
Financial information is in USD (M)
Periodicity: 12/02 12/03 12/04 12/05 12/06 12/07 12/08 12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
Income Statement
Revenue 17'206 26'206 29'853 30'067 30'113 31'828 32'315 33'755 28'143 26'412 25'218 23'970 23'332 22'505
- Cost of Goods Sold 14'104 22'322 25'135 24'994 24'622 25'637 26'375 28'130 22'849 20'786 19'638
Gross Income 3'102 3'884 4'718 5'073 5'491 6'191 5'940 5'625 5'294 5'626 5'580
- Selling, General & Admin Expenses 1'711 2'393 2'712 2'880 3'027 3'173 3'143 3'142 2'467 2'350 2'450
(Research & Dev Costs) 1'328 429 504 538 572 534 564 610 580 543 520
Operating Income 1'391 1'538 2'006 2'193 2'464 3'018 2'797 2'483 2'827 3'276 3'130 2'695 2'640 2'694
- Interest Expense 422 497 431 388 347 336 295 281 269 221 212
- Foreign Exchange Losses (Gains) 0 0 0 0 0 0 0 0 0 0
- Net Non-Operating Losses (Gains) -40 -90 -40 -254 -169 -16 3'022 -64 192 -28 -47
Pretax Income 1'009 1'131 1'615 2'059 2'286 2'698 -520 2'266 2'366 3'083 2'965 2'499 2'460 2'546
- Income Tax Expense 312 323 522 667 713 887 859 693 462 997 987
Income Before XO Items 697 808 1'093 1'392 1'573 1'811 -1'379 1'573 1'904 2'086 1'978
- Extraordinary Loss Net of Tax 633 -58 9 -8 31 21 -117 -113 -149 -32 0
- Minority Interests 0 0 0 0 0 0 0 0 0 0
Diluted EPS Before XO Items 2.86 2.16 2.99 3.83 4.46 5.18 (4.12) 4.87 6.32 7.41 7.81
Net Income Adjusted* 713 840 1'093 1'383 1'600 1'707 1'779 1'686 2'038 2'086 1'978 1'675 1'659 1'707
EPS Adjusted 3.04 2.25 2.99 3.81 4.46 5.12 5.21 5.21 6.77 7.41 7.81 7.01 7.31 7.91
Dividends Per Share 0.80 0.80 0.89 1.01 1.16 1.48 1.57 1.69 1.84 1.97 2.15 2.31 2.51 2.70
Payout Ratio % 26.8 37.7 29.5 25.8 26.3 28.7 34.3 28.6 26.0 27.0 0.33 0.34 0.34
Total Shares Outstanding 365 362 364 347 346 338 327 307 291 254 239
Diluted Shares Outstanding 235 368 365 363 359 354 335 323 301 282 253
EBITDA 1'916 2'173 2'740 2'965 3'169 3'745 3'558 3'219 3'382 3'820 3'640 3'212 3'193 3'283
*Net income excludes extraordinary gains and losses and one-time charges.
Equivalent Estimates
Company Analysis - Financials I/IV
Fiscal Year
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
Periodicity: 12/02 12/03 12/04 12/05 12/06 12/07 12/08 12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
Balance Sheet
Total Current Assets 15835 5745 6849 7551 6719 6797 8243 8635 13774 7746 8392
+ Cash & Near Cash Items 1'412 342 1'230 1'605 1'015 963 1'504 3'275 3'701 3'002 3'862
+ Short Term Investments 0 0 0 0 0 0 0 0 0 0 0
+ Accounts & Notes Receivable 2'889 3'198 3'492 3'553 3'566 3'790 3'701 3'394 3'329 2'964 2'858
+ Inventories 1'091 1'147 1'057 1'164 1'178 1'000 1'003 1'170 896 873 798
+ Other Current Assets 10'443 1'058 1'070 1'229 960 1'044 2'035 796 5'848 907 874
Total Long-Term Assets 26'431 27'264 26'454 26'663 25'290 26'576 21'954 21'617 17'636 17'665 18'151
+ Long Term Investments 0 0 0 0 0 0 0 0 0 0 0
Gross Fixed Assets 4'996 5'780 6'399 6'998 7'546 8'114 8'567 9'084 6'757 6'980 7'033
Accumulated Depreciation 1'391 1'744 2'189 2'595 3'015 3'424 3'782 4'216 3'712 3'933 4'146
+ Net Fixed Assets 3'605 4'036 4'210 4'403 4'531 4'690 4'785 4'868 3'045 3'047 2'887
+ Other Long Term Assets 22'826 23'228 22'244 22'260 20'759 21'886 17'169 16'749 14'591 14'618 15'264
Total Current Liabilities 11'373 6'361 6'165 7'974 6'753 6'432 7'449 6'985 10'027 6'135 6'056
+ Accounts Payable 1'427 1'491 1'750 1'589 1'686 1'890 1'887 1'921 1'573 1'481 1'392
+ Short Term Borrowings 225 471 42 1'264 170 137 501 103 784 13 5
+ Other Short Term Liabilities 9'721 4'399 4'373 5'121 4'897 4'405 5'061 4'961 7'670 4'641 4'659
Total Long Term Liabilities 16'082 10'850 10'438 9'412 8'641 9'254 10'828 10'580 7'947 8'940 10'973
+ Long Term Borrowings 9'398 5'760 5'466 4'231 4'342 4'268 3'443 4'191 3'940 3'935 3'930
+ Other Long Term Borrowings 6'684 5'090 4'972 5'181 4'299 4'986 7'385 6'389 4'007 5'005 7'043
Total Liabilities 27'455 17'211 16'603 17'386 15'394 15'686 18'277 17'565 17'974 15'075 17'029
+ Long Preferred Equity 350 0 0 0 0 0 0 0 0 0 0
+ Minority Interest 139 13 0 0 0 0 0 0 0 0 0
+ Share Capital & APIC 12'511 12'433 12'790 11'918 11'692 10'999 9'972 8'964 8'069 4'127 3'163
+ Retained Earnings & Other Equity 1'811 3'352 3'910 4'910 4'923 6'688 1'948 3'723 5'367 6'209 6'351
Total Shareholders Equity 14'811 15'798 16'700 16'828 16'615 17'687 11'920 12'687 13'436 10'336 9'514
Total Liabilities & Equity 42'266 33'009 33'303 34'214 32'009 33'373 30'197 30'252 31'410 25'411 26'543
Book Value Per Share 39.22 43.58 45.82 48.45 48.03 52.35 36.45 41.34 46.18 40.71 39.77 40.38 42.90 44.87
Tangible Book Value Per Share -10.65 -8.99 -5.38 -5.26 -5.04 -3.13 -7.76 -5.55 2.98 -8.64 -12.77
Company Analysis - Financials II/IV
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
Periodicity: 12/02 12/03 12/04 12/05 12/06 12/07 12/08 12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
Cash Flows
Net Income 64 866 1'084 1'400 1'542 1'790 -1'262 1'686 2'053 2'118 1'978 1'672 1'654 1'708
+ Depreciation & Amortization 525 635 734 772 705 727 761 736 555 544 510
+ Other Non-Cash Adjustments 899 185 5'558 194 -553 267 3'184 -248 300 -538 133
+ Changes in Non-Cash Capital 201 -830 -5'440 261 62 106 528 -41 -455 -9 19
Cash From Operating Activities 1'689 856 1'936 2'627 1'756 2'890 3'211 2'133 2'453 2'115 2'640
+ Disposal of Fixed Assets 45 86 28 11 21 22 19 0 0 0 0
+ Capital Expenditures -538 -635 -672 -824 -737 -682 -681 -654 -579 -488 -331 -393 -388 -343
+ Increase in Investments 0 0 0 0 0 0 0 0 0 0 0
+ Decrease in Investments 0 0 0 0 0 0 0 0 0 0 0
+ Other Investing Activities 375 3'430 653 -42 115 -770 36 1'521 -181 1'168 247
Cash From Investing Activities -118 2'881 9 -855 -601 -1'430 -626 867 -760 680 -84
+ Dividends Paid -205 -305 -322 -359 -402 -504 -525 -539 -545 -543 -535
+ Change in Short Term Borrowings 6 -12 0 41 44 -69 -2 -12 0 0 0
+ Increase in Long Term Borrowings 0 0 101 0 200 0 0 843 1'484 0 0
+ Decrease in Long Term Borrowings -500 -3'805 -836 -32 -1'212 -90 -113 -474 -1'011 -768 0
+ Increase in Capital Stocks 76 33 834 163 450 326 151 53 164 118 233
+ Decrease in Capital Stocks 0 -200 -786 -1'210 -825 -1'175 -1'555 -1'100 -1'177 -2'295 -1'316
+ Other Financing Activities 0 -460 0 0 0 0 0 0 -181 -6 -78
Cash From Financing Activities -623 -4'749 -1'009 -1'397 -1'745 -1'512 -2'044 -1'229 -1'266 -3'494 -1'696
Net Changes in Cash 948 -1'012 936 375 -590 -52 541 1'771 427 -699 860
Free Cash Flow (CFO-CAPEX) 1'151 221 1'264 1'803 1'019 2'208 2'530 1'479 1'874 1'627 2'309 1'759 2'066 1'940
Free Cash Flow To Firm 1'443 576 1'556 2'065 1'258 2'434 1'674 2'090 1'777 2'450
Free Cash Flow To Equity 677 -3'860 557 1'823 72 2'071 2'434 1'836 2'347 859 2'309
Free Cash Flow per Share 4.98 0.61 3.51 5.06 2.95 6.46 7.56 4.63 6.31 5.88 9.29
Company Analysis - Financials III/IV
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
Periodicity: 12/02 12/03 12/04 12/05 12/06 12/07 12/08 12/09 12/10 12/11 12/12 12/13E 12/14E 12/15E
Ratio Analysis
Valuation Ratios
Price Earnings 16.0x 21.3x 18.2x 16.5x 15.2x 15.3x 9.0x 10.4x 11.2x 9.0x 9.0x 10.2x 9.8x 9.0x
EV to EBIT 19.0x 15.1x 12.0x 11.3x 10.9x 9.9x 6.1x 7.3x 7.0x 4.8x 5.2x
EV to EBITDA 13.8x 10.7x 8.8x 8.4x 8.5x 8.0x 4.8x 5.6x 5.9x 4.1x 4.5x 5.3x 5.3x 5.1x
Price to Sales 0.7x 0.7x 0.7x 0.7x 0.8x 0.8x 0.5x 0.5x 0.7x 0.6x 0.7x 0.7x 0.7x 0.7x
Price to Book 1.2x 1.1x 1.2x 1.2x 1.4x 1.5x 1.2x 1.4x 1.4x 1.4x 1.7x 1.8x 1.7x 1.6x
Dividend Yield 1.6% 1.7% 1.6% 1.7% 1.7% 1.9% 3.5% 3.0% 2.8% 3.4% 3.2% 3.2% 3.5% 3.8%
Profitability Ratios
Gross Margin 18.0% 14.8% 15.8% 16.9% 18.2% 19.5% 18.4% 16.7% 18.8% 21.3% 22.1%
EBITDA Margin 11.1% 8.3% 9.2% 9.9% 10.5% 11.8% 11.0% 9.5% 12.0% 14.5% 14.4% 13.4% 13.7% 14.6%
Operating Margin 8.1% 5.9% 6.7% 7.3% 8.2% 9.5% 8.7% 7.4% 10.0% 12.4% 12.4% 11.2% 11.3% 12.0%
Profit Margin 0.4% 3.3% 3.6% 4.7% 5.1% 5.6% -3.9% 5.0% 7.3% 8.0% 7.8% 7.0% 7.1% 7.6%
Return on Assets 0.2% 2.3% 3.3% 4.1% 4.7% 5.5% -4.0% 5.6% 6.7% 7.5% 7.6% 6.3% 6.3%
Return on Equity 0.4% 5.8% 6.7% 8.4% 9.2% 10.4% -8.5% 13.7% 15.7% 17.8% 19.9% 17.2% 16.9%
Leverage & Coverage Ratios
Current Ratio 1.39 0.90 1.11 0.95 0.99 1.06 1.11 1.24 1.37 1.26 1.39
Quick Ratio 0.38 0.56 0.77 0.65 0.68 0.74 0.70 0.95 0.70 0.97 1.11
Interest Coverage Ratio (EBIT/I) 3.30 3.09 4.65 5.65 7.10 8.98 9.48 8.84 10.51 14.82 14.76
Tot Debt/Capital 0.39 0.28 0.25 0.25 0.21 0.20 0.25 0.25 0.26 0.28 0.29
Tot Debt/Equity 0.65 0.39 0.33 0.33 0.27 0.25 0.33 0.34 0.35 0.38 0.41
Others
Asset Turnover 0.54 0.70 0.90 0.89 0.91 0.97 1.02 1.12 0.91 0.93 0.97
Accounts Receivable Turnover 6.12 8.61 8.92 8.54 8.46 8.65 8.63 9.52 8.37 8.39 8.66
Accounts Payable Turnover 11.42 15.34 15.46 15.04 15.04 14.24 13.97 14.86 12.92 13.60 13.62
Inventory Turnover 12.17 19.95 22.81 22.51 21.03 23.54 26.34 25.89 22.12 23.50 23.50
Effective Tax Rate 30.9% 28.6% 32.3% 32.4% 31.2% 32.9% 30.6% 19.5% 32.3% 33.3%
Company Analysis - Financials IV/IV
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |
NORTHROP
GRUMMANBOEING CO/THE
LOCKHEED
MARTIN
GENERAL
DYNAMICSRAYTHEON CO
ROCKWELL
COLLINSEADS NV EXELIS INC GENERAL ELECTRIC BAE SYSTEMS PLC GENCORP INC L-3 COMM HLDGS SPIRIT AEROSYS-A
UNITED TECH
CORPCUBIC CORP
12/2012 12/2012 12/2012 12/2012 12/2012 09/2012 12/2012 12/2012 12/2012 12/2012 11/2012 12/2012 12/2012 12/2012 09/2012
72.67 89.46 99.49 72.01 59.34 64.16 42.59 12.32 23.90 399.70 13.87 83.99 25.90 95.84 52.53
11.04.2013 11.04.2013 23.04.2013 07.01.2013 21.12.2012 20.03.2013 15.03.2013 04.05.2012 08.03.2013 11.04.2013 04.04.2013 11.04.2013 03.05.2012 11.04.2013 14.09.2012
56.59 66.82 80.14 61.09 49.03 46.37 24.26 9.01 18.02 268.60 5.69 63.74 13.96 70.71 40.61
05.06.2012 05.06.2012 05.06.2012 02.08.2012 04.06.2012 24.07.2012 23.11.2012 25.07.2012 05.06.2012 01.06.2012 04.06.2012 23.05.2012 16.11.2012 05.06.2012 22.04.2013
1'085'687 3'131'828 2'489'368 1'719'533 1'580'180 1'104'822 1'038'087 855'123 65'822'433 2'861'153 495'884 508'235 849'376 6'506'123 84'796
71.49 88.18 97.06 67.10 57.39 61.35 40.68 10.53 21.50 379.60 12.76 81.35 19.39 92.89 41.69
-1.6% -1.4% -2.4% -6.8% -3.3% -4.4% -4.5% -14.5% -10.0% -5.0% -8.0% -3.1% -25.1% -3.1% -20.6%
26.3% 32.0% 21.1% 9.8% 17.1% 32.3% 67.7% 16.9% 19.3% 41.3% 124.3% 27.6% 38.9% 31.4% 2.7%
239.2 755.6 321.0 353.7 328.0 142.2 822.1 187.6 10'405.6 3'250.9 59.3 90.4 143.7 918.8 26.7
16'834 66'780 31'310 23'699 18'730 8'323 33'810 1'983 222'975 12'308 772 7'338 2'735 85'147 1'115
3'935.0 10'409.0 6'308.0 3'908.0 4'731.0 779.0 4'779.0 649.0 17'469.0 2'988.0 248.7 3'629.0 1'176.2 23'221.0 11.5
- - - - - - - - - - - - - - -
- 100.0 - - 164.0 5.0 25.0 - 5'444.0 54.0 - 76.0 0.5 1'393.0 (0.0)
3'862.0 13'558.0 1'898.0 3'296.0 4'044.0 335.0 11'084.0 292.0 15'583.0 3'355.0 162.1 349.0 440.7 4'819.0 212.3
16'907 63'731 34'549 23'863 19'581 9'149 27'530 2'340 218'475 11'995 1'339 10'694 3'471 104'828 973
LFY 25'218.0 81'698.0 47'182.0 31'513.0 24'414.0 4'726.0 56'480.0 5'522.0 144'796.0 16'620.0 994.9 13'146.0 5'397.7 57'708.0 1'381.5
LTM 25'124.0 81'208.0 46'959.0 31'338.0 24'414.0 4'664.0 56'480.0 5'522.0 143'566.0 16'620.0 1'036.7 13'989.0 5'397.7 59'691.0 1'376.1
CY+1 23'969.6 83'857.5 44'972.5 31'427.9 23'805.9 4'642.8 58'708.5 5'015.3 148'360.5 19'266.1 1'437.5 12'600.9 5'982.3 64'780.5 1'355.7
CY+2 23'332.4 91'482.0 43'970.9 31'243.3 23'343.6 4'779.8 62'639.5 4'797.2 153'732.3 19'032.2 1'845.5 12'171.2 6'562.3 68'435.8 1'392.6
LFY 0.6x 0.7x 0.7x 0.8x 0.8x 2.0x 0.3x 0.4x 1.6x 0.6x 1.3x 0.8x 0.6x 1.8x 0.8x
LTM 0.6x 0.7x 0.7x 0.8x 0.8x 2.0x 0.3x 0.4x 1.6x 0.6x 1.2x 0.7x 0.6x 1.8x 0.8x
CY+1 0.7x 0.8x 0.8x 0.7x 0.8x 1.9x 0.5x 0.4x 3.3x 0.7x - 0.8x 0.6x 1.5x 0.5x
CY+2 0.7x 0.7x 0.8x 0.7x 0.8x 1.9x 0.5x 0.4x 3.1x 0.7x - 0.8x 0.6x 1.4x -
LFY 3'640.0 8'118.0 5'470.0 3'447.0 3'444.0 1'033.0 3'927.0 710.0 25'000.0 2'199.0 57.2 1'579.0 102.3 9'208.0 150.9
LTM 3'640.0 8'118.0 5'515.0 1'428.0 3'444.0 1'026.0 3'987.0 710.0 25'000.0 2'199.0 49.4 1'647.0 219.7 9'625.0 139.8
CY+1 3'212.5 8'123.1 5'377.1 4'111.3 3'124.9 1'070.3 5'494.9 601.8 29'765.6 2'407.5 157.0 1'486.8 692.0 10'882.4 118.6
CY+2 3'192.7 9'149.4 5'376.0 4'215.3 3'147.2 1'127.7 6'451.1 618.2 32'078.5 2'337.4 226.0 1'446.0 762.2 11'930.5 129.3
LFY 4.5x 6.6x 6.3x 7.3x 5.7x 9.1x 4.6x 3.5x 9.4x 4.8x 22.4x 6.5x 31.0x 11.4x 7.6x
LTM 4.5x 6.6x 6.2x 17.6x 5.7x 9.2x 4.5x 3.5x 9.0x 4.8x 26.0x 6.2x 14.4x 10.9x 8.2x
CY+1 5.4x 7.8x 6.4x 5.7x 6.2x 8.4x 5.4x 3.7x 16.4x 5.4x - 7.0x 5.5x 9.1x 5.3x
CY+2 5.4x 6.8x 6.3x 5.5x 6.2x 8.0x 4.5x 3.4x 14.7x 5.6x - 7.1x 4.9x 8.2x -
LFY 7.47 5.11 10.19 6.48 6.20 4.41 1.45 1.85 1.54 0.32 0.05 8.10 2.30 5.40 3.44
LTM 7.52 5.31 10.49 6.48 6.22 4.54 1.50 1.87 1.53 0.33 -0.18 8.41 2.47 5.60 3.11
CY+1 7.01 6.37 8.96 6.67 5.31 4.60 2.68 1.67 1.67 0.42 0.14 8.19 2.15 6.11 2.65
CY+2 7.31 7.14 9.03 7.12 5.53 4.92 3.58 1.50 1.82 0.41 0.83 8.24 2.53 6.98 3.00
LFY 9.5x 16.6x 9.3x 10.4x 9.2x 13.5x 27.2x 5.6x 14.1x 11.6x - 9.7x 7.9x 16.6x 13.4x
LTM 9.5x 16.6x 9.3x 10.4x 9.2x 13.5x 27.2x 5.6x 14.1x 11.8x - 9.7x 7.9x 16.6x 13.4x
CY+1 10.2x 13.8x 10.8x 10.1x 10.8x 13.3x 15.2x 6.3x 12.9x 9.0x 91.1x 9.9x 9.0x 15.2x 15.7x
CY+2 9.8x 12.4x 10.7x 9.4x 10.4x 12.5x 11.4x 7.0x 11.8x 9.2x 15.4x 9.9x 7.7x 13.3x 13.9x
1 Year (4.5%) 18.9% 1.5% (3.6%) (1.5%) (1.7%) 15.0% (5.4%) 1.8% (6.5%) 8.4% (0.1%) 11.0% 3.5% 6.6%
5 Year (4.4%) 4.2% 2.1% 1.5% 1.6% (0.9%) 11.5% - (4.3%) 2.9% 7.1% (1.0%) 12.6% 1.0% 9.4%
1 Year (4.7%) 8.5% 6.8% (22.0%) 5.2% 4.7% 23.8% 2.7% (0.2%) (3.6%) (17.1%) (5.6%) (79.1%) 1.1% 11.1%
5 Year (0.6%) 2.2% 0.5% (0.5%) 5.0% 1.5% 23.1% - (7.0%) 4.1% (4.8%) (0.9%) (27.9%) 2.3% 16.3%
LTM 14.4% 9.9% 11.7% 4.6% 14.1% 22.0% 7.1% 12.9% 17.3% 13.2% 4.8% 11.8% 4.1% 16.1% 10.2%
CY+1 13.4% 9.7% 12.0% 13.1% 13.1% 23.1% 9.4% 12.0% 20.1% 12.5% 10.9% 11.8% 11.6% 16.8% 8.7%
CY+2 13.7% 10.0% 12.2% 13.5% 13.5% 23.6% 10.3% 12.9% 20.9% 12.3% 12.2% 11.9% 11.6% 17.4% 9.3%
Total Debt / Equity % 41.4% 177.4% 16174.4% 34.3% 58.9% 61.9% 45.9% 63.9% 274.3% 80.3% - 66.4% 58.9% 89.6% 1.7%
Total Debt / Capital % 29.3% 63.6% 99.4% 25.5% 36.6% 38.1% 31.4% 39.0% 72.4% 44.2% - 39.6% 37.1% 46.0% 1.7%
Total Debt / EBITDA 1.081x 1.282x 1.143x 2.737x 1.374x 1.129x 1.199x 0.914x 0.699x 1.359x 14.334x 2.203x 5.354x 2.371x 0.232x
Net Debt / EBITDA 0.020x -0.388x 0.587x 0.115x 0.199x 0.800x -1.581x 0.503x 0.075x -0.167x 11.486x 1.991x 3.348x 1.876x -1.014x
EBITDA / Int. Expense 17.170x 15.117x 14.282x 20.518x 16.800x 38.259x 7.523x 19.189x 18.103x 1.377x 2.565x 8.582x 1.132x 10.096x 97.341x
S&P LT Credit Rating BBB+ A A- A A- A A- BBB- AA+ BBB+ B BBB- - A -
S&P LT Credit Rating Date 12.08.2005 29.07.2009 27.04.2007 09.07.1999 04.09.2008 17.05.2001 22.09.2010 28.09.2012 12.03.2009 16.10.2007 19.12.2012 01.08.2005 - 02.10.2003 -
Moody's LT Credit Rating Baa2 A2 Baa1 A2 A3 A2 (P)A2 Baa3 Aa3 Baa2 - Ba1 - A2 -
Moody's LT Credit Rating Date 27.07.2009 15.03.2006 26.01.2006 07.08.2003 17.10.2011 08.01.2013 06.12.2012 14.09.2011 03.04.2012 14.04.2005 - 18.05.2010 - 22.04.1993 -
52-Week High Date
52-Week Low
Latest Fiscal Year:
52-Week High
Total Debt
Market Capitalization
Daily Volume
52-Week Low % Change
Current Price (4/dd/yy)
52-Week High % Change
Cash and Equivalents
EBITDA
EV/EBITDA
Enterprise Value
Valuation
Preferred Stock
52-Week Low Date
Minority Interest
Total Common Shares (M)
P/E
Revenue Growth
Total Revenue
EV/Total Revenue
EPS
EBITDA Growth
EBITDA Margin
Credit Ratings
Leverage/Coverage Ratios
Company Analysis - Peers Comparision
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: [email protected] |