Honeywell International Inc. is an American publicly traded, multinational conglomerate corporation headquartered in Charlotte, North Carolina. It primarily operates in four areas of business: aerospace, building automation, industrial automation, and energy and sustainability solutions. Honeywell also owns and operates Sandia National Laboratories under contract with the U.S. Department of Energy.
Honeywell is a Fortune 500 company, ranked 115th in 2023. In 2024, the corporation had a global workforce of approximately 102,000 employees. As of 2023, the current chairman and chief executive officer is Vimal Kapur. The corporation’s name, Honeywell International Inc., is a product of the merger of Honeywell Inc. and AlliedSignal in 1999. The corporation headquarters were consolidated with AlliedSignal’s headquarters in Morristown, New Jersey.
The combined company chose the name “Honeywell” because of the considerable brand recognition. Honeywell was a component of the Dow Jones Industrial Average index from 1999 to 2008. Prior to 1999, its corporate predecessors were included dating back to 1925, including early entrants in the computing and thermostat industries.
CEO
Vimal Kapur
FOUNDED
1906
HEADQUARTERS
Charlotte, North Carolina United States
WEBSITE
honeywell.com
NUMBER OF EMPLOYEES
102,000
SECTOR
Industrials
INDUSTRY
Conglomerates
Index
DJIA, NDX, S&P 500
Market Cap
145.68B
Income
5.69B
Sales
39.21B
Book/sh
27.17
Cash/sh
15.65
Dividend Est.
4.53 (2.00%)
Dividend TTM
4.47 (1.97%)
Dividend Ex-Date
May 16, 2025
Employees
102000
Option/Short
Yes / Yes
Sales Surprise
2.38%
SMA20
3.01%
P/E
26.04
Forward P/E
19.95
PEG
3.36
P/S
3.72
P/B
8.34
P/C
14.48
P/FCF
28.77
Quick Ratio
0.95
Current Ratio
1.25
Debt/Eq
1.95
LT Debt/Eq
1.53
EPS Surprise
13.61%
SMA50
7.98%
EPS (ttm)
8.71
EPS next Y
11.36
EPS next Q
2.64
EPS this Y
5.47%
EPS next Y
8.93%
EPS next 5Y
7.74%
EPS past 5Y
0.69%
Sales past 5Y
1.16%
EPS Y/Y TTM
0.81%
Sales Y/Y TTM
6.30%
EPS Q/Q
-0.21%
Sales Q/Q
7.88%
SMA200
6.04%
Insider Own
0.12%
Insider Trans
-3.61%
Inst Own
80.08%
Inst Trans
-3.81%
ROA
8.08%
ROE
33.56%
ROI
12.89%
Gross Margin
38.25%
Oper. Margin
20.32%
Profit Margin
14.51%
Payout
50.20%
Earnings
Apr 29 BMO
Trades
65,147
Shs Outstand
642.68M
Shs Float
641.89M
Short Float
1.18%
Short Ratio
1.64
Short Interest
7.58M
52W Range
179.36 – 242.77
52W High
-6.63%
52W Low
26.38%
RSI (14)
64.25
Recom
2.11
Rel Volume
1.8
Avg Volume
4.62M
Volume
8,299,561
Perf Week
1.36%
Perf Month
7.68%
Perf Quarter
6.47%
Perf Half Y
-1.70%
Perf Year
13.80%
Perf YTD
0.35%
Beta
1.07
ATR (14)
4.12
Volatility
1.15% 1.32%
Target Price
239.11
Prev Close
225.19
Price
226.67
Change
0.66%
Information edited and updated on 30/05/2025
KEY FINANCIALS
Institutional Ownership
VANGUARD GROUP INC
9.59%
BlackRock, Inc.
7.26%
STATE STREET CORP
4.77%
MORGAN STANLEY
2.82%
JPMORGAN CHASE & CO
2.59%
WELLINGTON MANAGEMENT GROUP LLP
2.43%
GEODE CAPITAL MANAGEMENT, LLC
2.39%
BARCLAYS PLC
2.39%
Newport Trust Company, LLC
2.27%
BANK OF AMERICA CORP /DE/
1.92%
Insider Trading
Insider Trading Volume
Income Statement
Period
TTM
FY 2024
FY 2023
Period End Date
—
12/31/2024
12/31/2023
Period Length
12 Months
12 Months
12 Months
Total Revenue
39,213.00
38,496.00
36,647.00
Cost of Goods Sold Incl. D&A
24,213.00
23,738.00
22,353.00
Gross Profit
15,000.00
14,758.00
14,294.00
Selling, General and Administrative Excl. Other
7,033.00
6,888.00
6,421.00
Research and Development
1,615.00
1,536.00
1,456.00
Other Operating Expense
0.00
0.00
0.00
Operating Income
7,967.00
7,870.00
7,873.00
Interest Expense
1,124.00
1,058.00
765.00
Unusual Expense
578.00
375.00
868.00
Net Income Before Taxes
7,226.00
7,213.00
7,159.00
Income Taxes
1,494.00
1,473.00
1,487.00
Consolidated Net Income
5,732.00
5,740.00
5,672.00
Net Income From Continuing Operations
5,691.00
5,705.00
5,658.00
Net Income
5,691.00
5,705.00
5,658.00
EPS (Recurring)
9.35
9.11
9.38
EPS (Basic, Before Extraordinaries)
8.76
8.76
8.53
EPS (Diluted)
8.71
8.71
8.47
EBITDA
9,384.00
9,204.00
9,049.00
Non-Operating Income (Expense)
961.00
776.00
919.00
Other After Tax Adjustments
0.00
0.00
0.00
Stock Option Compensation Expense
159.58
152.00
159.00
Price To Earnings Ratio
26.04
26.04
26.17
Price To Sales Ratio
3.52
3.85
3.82
Gross Margin
38.25
38.34
39.00
Operating Margin
20.32
20.44
21.48
Net Margin
14.51
14.82
15.44
Shares Outstanding
642.68
649.80
652.18
Market Capitalization
145,676.96
145,676.96
147,345.97
values in Millions, USD
Balance Sheet
Period
FY 2024
FY 2023
Period End Date
12/31/2024
12/31/2023
Cash & Short Term Investments
10,953.00
8,095.00
Short Term Receivables
7,978.00
7,711.00
Inventories
6,442.00
6,178.00
Other Current Assets
2,535.00
1,518.00
Total Current Assets
27,908.00
23,502.00
Net Property, Plant & Equipment
7,219.00
6,664.00
Total Investments and Advances
671.00
707.00
Long-Term Note Receivable
1,306.00
753.00
Intangible Assets
28,481.00
21,280.00
Deferred Tax Assets
238.00
392.00
Other Assets
9,373.00
8,227.00
Total Assets
75,196.00
61,525.00
Short Term Debt Incl. Current Port. of LT Debt
5,819.00
4,077.00
Accounts Payable
6,880.00
6,849.00
Income Tax Payable
961.00
680.00
Other Current Liabilities
7,596.00
6,933.00
Total Current Liabilities
21,256.00
18,539.00
Long Term Debt
26,406.00
17,459.00
Provision for Risks Charges
3,183.00
3,434.00
Deferred Tax Liabilities
1,787.00
2,094.00
Other Liabilities
3,403.00
3,558.00
Total Liabilities
56,035.00
45,084.00
Non-Equity Reserves
0.00
0.00
Preferred Stock – Carrying Value
0
0
Common Equity
18,619.00
15,856.00
Total Shareholders Equity
18,619.00
15,856.00
Accumulated Minority Interest
542.00
585.00
Total Equity
19,161.00
16,441.00
Total Liabilities & Stockholders Equity
75,196.00
61,525.00
Book Value Per Share
28.65
24.31
Tangible Book Value Per Share
-15.18
-8.32
Full-Time Employees
102,000
95,000
Price to Book Ratio
8.34
8.47
Return on Assets
8.35
9.14
Return on Equity
33.1
34.76
Return on Invested Capital
12.67
16.98
Quick Ratio
1.01
0.93
Current Ratio
1.31
1.27
values in Millions, USD
Cash Flow
Period
TTM
FY 2024
FY 2023
Period End Date
—
12/31/2024
12/31/2023
Period Length
12 Months
12 Months
12 Months
Net Income
5,691.00
5,705.00
5,658.00
Depreciation
1,417.00
1,334.00
1,176.00
Other Funds (Non Cash)
-991.00
-946.00
-2,008.00
Funds from Operations
5,862.00
5,860.00
4,979.00
Extraordinary Item
0.00
0.00
0.00
Changes in Working Capital
384.00
237.00
361.00
Income Taxes Payable
—
—
—
Cash from Operating Activities
6,246.00
6,097.00
5,340.00
Capital Expenditures
-1,182.00
-1,164.00
-1,039.00
Net Assets From Acquisitions
-8,885.00
-8,880.00
-718.00
Sale of Fixed Assets and Businesses
23.00
0.00
47.00
Purchase or Sale of Investments
-137.00
-207.00
411.00
Purchase of Investments
-1,190.00
-1,077.00
-560.00
Sale Or Maturity of Investments
1,053.00
870.00
971.00
Other Uses
-125.00
0.00
0.00
Other Sources
51.00
94.00
6.00
Cash from Investing Activities
-10,255.00
-10,157.00
-1,293.00
Cash Dividends Paid
-2,931.00
-2,902.00
-2,855.00
Change in Capital Stock
-2,451.00
-1,118.00
-3,519.00
Repurchase of Common Pref Stock
-2,886.00
-1,655.00
-3,715.00
Sale of Common Pref Stock
435.00
537.00
196.00
Proceedsfrom Stock Options
435.00
537.00
196.00
Issuance or Reduction of Debt, Net
7,410.00
10,856.00
583.00
Change in Long Term Debt
3,461.00
8,596.00
1,255.00
Issuance of Long Term Debt
4,744.00
10,408.00
2,986.00
Reduction of Long Term Debt
-1,283.00
-1,812.00
-1,731.00
Net Financing Active Other Cash Flow
-65.00
3.00
28.00
Other Financing Activities Uses
-32.00
0.00
0.00
Cash from Financing Activities
1,963.00
6,839.00
-5,763.00
Exchange Rate Effect
-53
-137
14
Net Change in Cash
-2,099.00
2,642.00
-1,702.00
Free Cash Flow
5,064.00
4,933.00
4,301.00
Preferred Dividends (Cash Flow)
—
0
0
Price to Free Cash Flow
64.7
72.88
96.91
values in Millions, USD
Honeywell International Inc at a Glance
Honeywell International Inc Financials at a glance including: EPS, Sales, Shares Outstanding, SPY Comparison, Short Interest, Short Interest History, EPS Performance and Forecast, GAAP EPS Performance and Forecast, Revenue Performance and Forecast, Price Reactions to Earnings Reports, Latest Revisions, Revenue by Products and Services, Revenue by Regions, Revenue by Segment, Dividends, and Dividend Payout History.
Please Note: Information edited and updated on 30/05/2025
Index – Major index membership
Market Cap – Market capitalization
Income – Trailing 12 months income
Sales – Trailing 12 months revenue
Book/sh – Most recent quarter book value a share
Cash/sh – Most recent quarter cash per share
Dividend Est. – Analysts’ dividend estimate (fiscal year)
Dividend TTM – Trailing 12-month dividend
Dividend Ex-Date – Ex-dividend date
Employees – Number of full-time employees
Option/Short – Stock has options on a market exchange/stock is available to sell short
Sales Surprise – Last quarter revenue surprise
SMA20 – Stock price distance from 20-day simple moving average
P/E – Price-to-Earnings (trailing 12-months)
Forward P/E – Forward Price-to-Earnings (next fiscal year)
PEG – Price-to-Earnings-to-Growth
P/S – Price-to-Book (most recent quarter)
P/B – Price-to-Book (most recent quarter)
P/C – Price to cash per share (most recent quarter)
P/FCF – Price to Free Cash Flow (trailing 3-months)
Quick Ratio – Quick Ratio (most recent quarter)
Current Ratio – Current Ratio (most recent quarter)
Debt/Eq – Total Debt to Equity (most recent quarter)
LT Debt/Eq – Long Term Debt to Equity (most recent quarter)
EPS Surprise – Last quarter Earnings-Per-Share surprise
SMA50 – Stock price distance from 50-Day Simple Moving Average
EPS (ttm) – Diluted Earnings-Per-Share (trailing 3-months)
EPS next Y – Earnings-Per-Share estimate for next year
EPS next Q – Earnings-Per-Share estimate next quarter
EPS this Y - Earnings-Per-Share growth this year
EPS next Y - Earnings-Per-Share estimate for next year
EPS next 5Y – Long term annual growth estimate (5 years)
EPS past 5Y – Annual Earnings-Per-Share growth past 5 years
Sales past 5Y – Annual sales growth past 5 years
EPS Y/Y TTM – Earnings-Per-Share growth (trailing 3 months)
Sales Y/Y TTM – Sales growth (trailing 3 months)
EPS Q/Q – Quarterly earnings growth (Year-on-Year)
Sales Q/Q – Quarterly revenue growth (Year-on-Year)
SMA200 – Stock price distance from 2-Day Simple Moving Average
Insider Own – Percentage insider ownership of company shares
Insider Trans – Insider transactions (6-month change in Insider Ownership)
Inst Own – Institutional ownership
Inst Trans - Institutional transactions (3-month change in Institutional Ownership)
ROA – Return on Assets (trailing 3-months)
ROE – Return on Equity (trailing 3-months)
ROI – Return on Investment (trailing 3-months)
Gross Margin – Gross Margin (trailing 3-months)
Oper. Margin – Operating Margin (trailing 3-months)
Profit Margin – Net Profit Margin (trailing 3-months)
Payout – Dividend Payout Ratio (trailing 3-months)
Earnings – BMO = Before Market Open / AMC = After Market Close
Shs Outstand – Shares outstanding
Shs Float – Shares float
Short Float – Short interest share
Short Ratio – Short interest ratio
Short Interest – Short interest
52W Range – 52-Week trading range
52W High – Distance from 52-Week High
52W Low - Distance from 52-Week Low
RSI (14) – Relative Strength Index
Perf Week – Performance (Week)
Perf Month – Performance (Month)
Perf Quarter – Performance (Quarter)
Perf Half Y - Performance (Half Year)
Perf Year – (Year)
Perf YTD - Performance (Year-To-Date)
Beta - Beta
ATR (14) – Average True Range
Volatility – Volatility (Week, Month)
Target Price – Analysts’ mean target price
Price – Current stock price