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HON Honeywell

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  • 211.490
  • +10.830+5.40%
Close Apr 29 16:00 ET
  • 212.000
  • +0.510+0.24%
Pre 06:00 ET
136.04BMarket Cap24.31P/E (TTM)

Honeywell Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
33.26%597M
14.18%6.1B
-22.81%2.28B
10.39%2B
0.81%1.37B
157.14%448M
1.25%5.34B
24.89%2.96B
-13.15%1.81B
72.37%1.36B
Net income from continuing operations
-0.54%1.47B
1.20%5.74B
3.37%1.29B
-6.60%1.42B
3.93%1.56B
4.76%1.48B
14.19%5.67B
22.23%1.25B
-2.19%1.52B
18.84%1.5B
Operating gains losses
-6.62%-161M
-15.57%-475M
-3,100.00%-32M
-8.03%-148M
-5.11%-144M
-11.03%-151M
22.74%-411M
-100.39%-1M
48.69%-137M
47.31%-137M
Depreciation and amortization
28.52%374M
13.44%1.33B
25.25%377M
15.91%357M
8.80%309M
2.83%291M
-2.33%1.18B
0.67%301M
2.67%308M
3.27%284M
Deferred tax
-733.33%-19M
-252.29%-233M
-1,146.67%-187M
64.29%-10M
-34.48%-39M
-98.67%3M
185.00%153M
96.13%-15M
-131.82%-28M
-129.29%-29M
Other non cash items
-33.01%-278M
49.31%-919M
-174.11%-83M
-395.65%-136M
-33.79%-491M
86.97%-209M
-587.37%-1.81B
152.58%112M
-60.68%46M
-235.93%-367M
Change In working capital
14.99%-862M
-34.35%237M
-37.82%781M
428.79%349M
108.62%121M
0.49%-1.01B
148.46%361M
-8.05%1.26B
-73.17%66M
106.37%58M
-Change in receivables
-900.00%-424M
-128.57%-96M
-59.60%122M
-142.86%-69M
-143.37%-202M
112.56%53M
94.32%-42M
482.28%302M
-34.02%161M
86.59%-83M
-Change in inventory
-29.29%-181M
51.44%-304M
60.11%-71M
-41.82%-156M
163.00%63M
41.18%-140M
-42.27%-626M
-256.00%-178M
-350.00%-110M
2.91%-100M
-Change in payables and accrued expense
71.25%-272M
-73.72%266M
-55.89%554M
639.02%606M
-63.64%52M
-101.71%-946M
400.99%1.01B
-9.51%1.26B
140.00%82M
179.44%143M
-Change in other current assets
-44.44%35M
2,082.35%371M
241.94%176M
52.24%-32M
67.35%164M
-42.73%63M
-92.67%17M
-215.89%-124M
-141.10%-67M
1,188.89%98M
-Change in other working capital
54.55%-20M
----
----
----
----
---44M
----
----
----
----
Cash from discontinued investing activities
Operating cash flow
33.26%597M
14.18%6.1B
-22.81%2.28B
10.39%2B
0.81%1.37B
157.14%448M
1.25%5.34B
24.89%2.96B
-13.15%1.81B
72.37%1.36B
Investing cash flow
Cash flow from continuing investing activities
-35.90%-371M
-685.54%-10.16B
-262.71%-1.96B
-6,115.56%-2.8B
-654.71%-5.13B
-841.38%-273M
-1,290.32%-1.29B
14.85%-539M
-135.71%-45M
-260.38%-680M
Capital expenditure reported
-7.73%-251M
-12.03%-1.16B
-7.97%-393M
-12.05%-279M
-11.16%-259M
-20.73%-233M
-35.64%-1.04B
-51.04%-364M
-35.33%-249M
-47.47%-233M
Net PPE purchase and sale
--23M
--0
--0
--0
--0
--0
48.28%43M
22.22%22M
--8M
100.00%2M
Net business purchase and sale
---5M
-1,143.70%-8.88B
-91,750.00%-1.83B
-3,780.00%-2.13B
---4.91B
--0
-301.12%-714M
--2M
---55M
----
Net investment purchase and sale
-245.00%-138M
-127.10%-113M
236.18%271M
-252.99%-384M
-81.13%40M
-126.14%-40M
0.97%417M
51.46%-199M
-19.03%251M
-42.86%212M
Cash from discontinued investing activities
Investing cash flow
-35.90%-371M
-685.54%-10.16B
-262.71%-1.96B
-6,115.56%-2.8B
-654.71%-5.13B
-841.38%-273M
-1,290.32%-1.29B
14.85%-539M
-135.71%-45M
-260.38%-680M
Financing cash flow
Cash flow from continuing financing activities
-131.93%-1.18B
218.67%6.84B
90.63%-219M
168.64%1.76B
44.32%1.6B
287.33%3.7B
8.96%-5.76B
-937.28%-2.34B
7.67%-2.56B
152.53%1.11B
Net issuance payments of debt
-70.47%1.44B
1,762.09%10.86B
436.60%791M
394.48%2.46B
23.37%2.72B
985.87%4.89B
83.91%583M
-110.95%-235M
52.07%-834M
4,421.57%2.2B
Net common stock issuance
-252.94%-1.86B
68.23%-1.12B
82.00%-267M
104.10%40M
8.77%-364M
20.39%-527M
9.30%-3.52B
-26.32%-1.48B
-183.43%-975M
70.81%-399M
Cash dividends paid
-4.13%-732M
-1.65%-2.9B
-4.22%-741M
1.79%-715M
-7.53%-743M
3.03%-703M
-5.00%-2.86B
-2.89%-711M
-8.82%-728M
0.00%-691M
Net other financing activities
-188.89%-32M
-89.29%3M
-102.15%-2M
22.22%-21M
-150.00%-10M
205.88%36M
158.33%28M
3,200.00%93M
-12.50%-27M
0.00%-4M
Cash from discontinued financing activities
Financing cash flow
-131.93%-1.18B
218.67%6.84B
90.63%-219M
168.64%1.76B
44.32%1.6B
287.33%3.7B
8.96%-5.76B
-937.28%-2.34B
7.67%-2.56B
152.53%1.11B
Net cash flow
Beginning cash position
33.34%10.57B
-17.68%7.93B
36.99%10.64B
11.01%9.58B
71.15%11.76B
-17.68%7.93B
-12.15%9.63B
4.31%7.77B
4.58%8.63B
-25.99%6.87B
Current changes in cash
-124.64%-954M
261.95%2.78B
33.75%107M
220.00%960M
-220.61%-2.16B
238.94%3.87B
-49.35%-1.72B
-96.02%80M
-40.85%-800M
298.89%1.79B
Effect of exchange rate changes
210.00%44M
-1,078.57%-137M
-345.33%-184M
292.86%108M
36.36%-21M
-242.86%-40M
107.65%14M
-54.82%75M
75.76%-56M
75.19%-33M
End cash Position
-17.85%9.66B
33.34%10.57B
33.34%10.57B
36.99%10.64B
11.01%9.58B
71.15%11.76B
-17.68%7.93B
-17.68%7.93B
4.31%7.77B
4.58%8.63B
Free cash flow
60.93%346M
14.69%4.93B
-27.13%1.89B
10.13%1.72B
-1.33%1.11B
122.01%215M
-4.59%4.3B
21.93%2.59B
-17.85%1.56B
78.61%1.13B
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
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 33.26%597M14.18%6.1B-22.81%2.28B10.39%2B0.81%1.37B157.14%448M1.25%5.34B24.89%2.96B-13.15%1.81B72.37%1.36B
Net income from continuing operations -0.54%1.47B1.20%5.74B3.37%1.29B-6.60%1.42B3.93%1.56B4.76%1.48B14.19%5.67B22.23%1.25B-2.19%1.52B18.84%1.5B
Operating gains losses -6.62%-161M-15.57%-475M-3,100.00%-32M-8.03%-148M-5.11%-144M-11.03%-151M22.74%-411M-100.39%-1M48.69%-137M47.31%-137M
Depreciation and amortization 28.52%374M13.44%1.33B25.25%377M15.91%357M8.80%309M2.83%291M-2.33%1.18B0.67%301M2.67%308M3.27%284M
Deferred tax -733.33%-19M-252.29%-233M-1,146.67%-187M64.29%-10M-34.48%-39M-98.67%3M185.00%153M96.13%-15M-131.82%-28M-129.29%-29M
Other non cash items -33.01%-278M49.31%-919M-174.11%-83M-395.65%-136M-33.79%-491M86.97%-209M-587.37%-1.81B152.58%112M-60.68%46M-235.93%-367M
Change In working capital 14.99%-862M-34.35%237M-37.82%781M428.79%349M108.62%121M0.49%-1.01B148.46%361M-8.05%1.26B-73.17%66M106.37%58M
-Change in receivables -900.00%-424M-128.57%-96M-59.60%122M-142.86%-69M-143.37%-202M112.56%53M94.32%-42M482.28%302M-34.02%161M86.59%-83M
-Change in inventory -29.29%-181M51.44%-304M60.11%-71M-41.82%-156M163.00%63M41.18%-140M-42.27%-626M-256.00%-178M-350.00%-110M2.91%-100M
-Change in payables and accrued expense 71.25%-272M-73.72%266M-55.89%554M639.02%606M-63.64%52M-101.71%-946M400.99%1.01B-9.51%1.26B140.00%82M179.44%143M
-Change in other current assets -44.44%35M2,082.35%371M241.94%176M52.24%-32M67.35%164M-42.73%63M-92.67%17M-215.89%-124M-141.10%-67M1,188.89%98M
-Change in other working capital 54.55%-20M-------------------44M----------------
Cash from discontinued investing activities
Operating cash flow 33.26%597M14.18%6.1B-22.81%2.28B10.39%2B0.81%1.37B157.14%448M1.25%5.34B24.89%2.96B-13.15%1.81B72.37%1.36B
Investing cash flow
Cash flow from continuing investing activities -35.90%-371M-685.54%-10.16B-262.71%-1.96B-6,115.56%-2.8B-654.71%-5.13B-841.38%-273M-1,290.32%-1.29B14.85%-539M-135.71%-45M-260.38%-680M
Capital expenditure reported -7.73%-251M-12.03%-1.16B-7.97%-393M-12.05%-279M-11.16%-259M-20.73%-233M-35.64%-1.04B-51.04%-364M-35.33%-249M-47.47%-233M
Net PPE purchase and sale --23M--0--0--0--0--048.28%43M22.22%22M--8M100.00%2M
Net business purchase and sale ---5M-1,143.70%-8.88B-91,750.00%-1.83B-3,780.00%-2.13B---4.91B--0-301.12%-714M--2M---55M----
Net investment purchase and sale -245.00%-138M-127.10%-113M236.18%271M-252.99%-384M-81.13%40M-126.14%-40M0.97%417M51.46%-199M-19.03%251M-42.86%212M
Cash from discontinued investing activities
Investing cash flow -35.90%-371M-685.54%-10.16B-262.71%-1.96B-6,115.56%-2.8B-654.71%-5.13B-841.38%-273M-1,290.32%-1.29B14.85%-539M-135.71%-45M-260.38%-680M
Financing cash flow
Cash flow from continuing financing activities -131.93%-1.18B218.67%6.84B90.63%-219M168.64%1.76B44.32%1.6B287.33%3.7B8.96%-5.76B-937.28%-2.34B7.67%-2.56B152.53%1.11B
Net issuance payments of debt -70.47%1.44B1,762.09%10.86B436.60%791M394.48%2.46B23.37%2.72B985.87%4.89B83.91%583M-110.95%-235M52.07%-834M4,421.57%2.2B
Net common stock issuance -252.94%-1.86B68.23%-1.12B82.00%-267M104.10%40M8.77%-364M20.39%-527M9.30%-3.52B-26.32%-1.48B-183.43%-975M70.81%-399M
Cash dividends paid -4.13%-732M-1.65%-2.9B-4.22%-741M1.79%-715M-7.53%-743M3.03%-703M-5.00%-2.86B-2.89%-711M-8.82%-728M0.00%-691M
Net other financing activities -188.89%-32M-89.29%3M-102.15%-2M22.22%-21M-150.00%-10M205.88%36M158.33%28M3,200.00%93M-12.50%-27M0.00%-4M
Cash from discontinued financing activities
Financing cash flow -131.93%-1.18B218.67%6.84B90.63%-219M168.64%1.76B44.32%1.6B287.33%3.7B8.96%-5.76B-937.28%-2.34B7.67%-2.56B152.53%1.11B
Net cash flow
Beginning cash position 33.34%10.57B-17.68%7.93B36.99%10.64B11.01%9.58B71.15%11.76B-17.68%7.93B-12.15%9.63B4.31%7.77B4.58%8.63B-25.99%6.87B
Current changes in cash -124.64%-954M261.95%2.78B33.75%107M220.00%960M-220.61%-2.16B238.94%3.87B-49.35%-1.72B-96.02%80M-40.85%-800M298.89%1.79B
Effect of exchange rate changes 210.00%44M-1,078.57%-137M-345.33%-184M292.86%108M36.36%-21M-242.86%-40M107.65%14M-54.82%75M75.76%-56M75.19%-33M
End cash Position -17.85%9.66B33.34%10.57B33.34%10.57B36.99%10.64B11.01%9.58B71.15%11.76B-17.68%7.93B-17.68%7.93B4.31%7.77B4.58%8.63B
Free cash flow 60.93%346M14.69%4.93B-27.13%1.89B10.13%1.72B-1.33%1.11B122.01%215M-4.59%4.3B21.93%2.59B-17.85%1.56B78.61%1.13B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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