Textron Inc. TXT

76.59 0.57 0.75% as of 25 Sep
Market cap
$13.0B
P/E
14.5×
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Textron Inc. (TXT) Free cash flow margin

Textron Inc.'s free cash flow margin over the twelve months to 30 June 2026 was 5.00%, down 1.3 percentage points from fiscal 2025 (6.34%). Over the past ten years it has ranged from 3.47% (fiscal 2016) to 9.90% (fiscal 2021); the current reading is higher than 73% of that period. That is above the Aerospace & Defense industry median of 0.00% and above the Industrials sector median of 2.43%.

Free cash flow margin, annual

Annual

Period Free cash flow margin Change (points)
FY2025 6.34% 1.57
FY2024 4.77% (1.68)
FY2023 6.45% (2.53)
FY2022 8.98% (0.92)
FY2021 9.90% 5.75
FY2020 4.15% (0.87)
FY2019 5.02% (0.36)
FY2018 5.38% 1.77
FY2017 3.61% 0.14
FY2016 3.47% (1.52)

Against its own ten years

Low 3.47% High 9.90%
Ten-year median 5.02%
Current reading's percentile 73

Free cash flow margin against peers

What Free cash flow margin is

Free Cash Flow Margin tells an investor how much of each sale turns into cash the company keeps after paying for investment in its assets.

(Operating Cash Flow + Property, Plant, Equipment Change (Net) + Intangible Assets Change (Net)) ÷ Revenue

The full definition of Free cash flow margin →

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