Raytheon (RTN) Dividend Analyzer Analysis
The Raytheon dividend has been paid continuously since 2001 and increased for 12 consecutive years;
qualifying the company as a Dividend Contender.
Current Dividend: $3.19
Dividend Yield: 1.9%
Cash Dividend Payout Ratio: 45%
Market Capitalization: 49 B
Enterprise Value: 51 B
Industry: Aerospace & Defense
Raytheon is a technology company in the defense industry. It develops technological and integrated products, services and solutions in core markets: sensing; effects; command, control, communications, computers, cyber and intelligence; among others.
Dividend Analyzer Checklist
(updated July 2017)
Dividend Safety Score (25/33 points)
Dividend Per Share (ttm): $2.995
Dividend Payout Ratio (ttm): 38%
Dividend Per Share (10 Year Growth): 12%
Cash From Operations (CFO) Per Share (ttm): $8.42
CFO Dividend Coverage (CFO / DPS): 2.8 (3/6 points)
Free Cash Flow (FCF) Per Share (ttm): $6.51
FCF Dividend Coverage (FCF / DPS): 2.2 (4/6 points)
Net Financial Debt: $2752 M
Total Assets: $29869 M
Net Financial Debt / Total Assets: 9% (10/12 points)
Net Financial Debt to EBITDA (ttm): 136%
Total Liabilities to Assets Ratio (Qtr.): 65%
Piotroski Score (1-9) (TTM): (8/9 points)
Profitability & Growth Score (11/33 points)
Revenue (10 Year Growth) *CAGR > 4.14%: 2.0% (0/4 points)
EPS Basic Cont. Operations (10 Year Growth) CAGR > 4.14%: 10.7% (4/4 points)
Cash From Operations (10 Year Growth) CAGR > 4.14%: 0.4% (0/6 points)
Operating Earnings Yield (ttm): 6.8% (3/7 points)
Net Income (ttm): $2288 M
Gross Profit (ttm): $6229 M
Total Assets: $29869M
Gross Profitability Ratio = GP / Total Assets: 21% (4/12 points)
Cash Return On Invested Capital (CROIC)(tttm): 12%
Return on Invested Capital (ROIC): 14%
Return on Invested Capital (ROIC) (5 Year Median): 14%
Return on Invested Capital (ROIC) (10 Year Median): 14%
Valuation Score (14/34 points)
Free Cash Flow Yield (ttm): 3.9% (4/9 points)
EV to EBIT (ttm): 15.1 (4/9 points)
EV to EBITDA (ttm): 13.1 (4/9 points)
PE10: 28.0 (2/7 points)
Price to Sales Ratio (ttm): 2.0
Price to Book Value (ttm): 4.5
Price to Earnings Ratio (P/E) (ttm): 20.8
TOTAL POINTS – (50/100) (50 is an average score)
*Compound Annual Growth Rate (CAGR)
**A Compound Annual Growth Rate of 4.14% = a 50% gain over 10 years.
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(updated July 2017)
Raytheon is ranked #100 (out of 251) overall and #24 (out of 57) in the Industrial Sector by the Dividend Analyzer.
RTN has a better than average dividend safety score but is a little below average in the profitability & growth and valuation scores.
Raytheon can be considered for any diversified dividend portfolio.
Portfolio Position Disclosures:
DVB Foundation Portfolio: None
DVB Dividend Growth: None
DVB High Income: None
Arbor Asset Allocation Model Portfolio (AAAMP): None
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