Industrials

Howmet Aerospace Inc. (HWM)

$250.72
-1.88%
$103.3B
Market Cap
59.9
P/E Ratio
1.19
Beta
0.19%
Dividend Yield
Piotroski 8/9Altman Z 12.5 SafeBeneish M -2.56 CleanROIC−WACC +4.5%

Quantitative Summary

Deterministic

HWM trades at 59.9x earnings — a 34% premium to its sector average of 44.7x — without a dominant ROIC-WACC spread. Financial health metrics are strong: Piotroski 8/9, Altman Z 12.5 (above 3.0 safe zone threshold). DCF fair value of $88 implies 66% downside based on model assumptions.

Generated deterministically from quant metrics and financial statements. Not a recommendation.

Algorithmic Teardown

AI-Generated

The fundamental economics of HWM present a compelling dichotomy between superior capital efficiency and aggressive equity financing. The company demonstrates robust value creation potential, evidenced by an ROIC-WACC spread of 4.8%, indicating returns that comfortably exceed the cost of capital. This high-quality earnings profile is driven primarily by exceptional net margins at 18.3% rather than asset turnover or leverage, a strategy confirmed by a strong Piotroski F-Score of 8/9 and an Altman Z-Score of 12.1 signaling minimal distress risk. However, the DuPont decomposition reveals that this high ROE of 28.2% is leveraged through an equity multiplier of 2.09x, suggesting a reliance on debt to amplify returns, while the negative Profitability Factor (RMW) of -0.013 hints at recent profitability pressures despite historically strong gross margins near 34%.

Valuation metrics suggest significant market skepticism regarding future sustainability relative to current multiples. Trading at a P/E ratio of 62.9x, the stock commands a premium that vastly exceeds typical sector norms and implies an aggressive growth trajectory. This is quantified by a DCF fair value discount of approximately 60%, which conflicts sharply with the implied ten-year free cash flow growth rate of 27.8% embedded in the model. While the Fama-French Alpha stands out at an annualized 41.86%, reflecting strong momentum or specific factor exposure, the extreme valuation multiple indicates that the market has likely priced in perfection for a decade ahead, leaving little room for error if growth decelerates even marginally below the implied 27.8% CAGR.

Risk assessment highlights divergent signals between quantitative factors and insider behavior. The stock exhibits a distinct value tilt with an HML factor of 0.278 yet simultaneously trades at one of the highest valuations in its sector, creating a structural disconnect. More concerning is the net insider selling activity totaling over $11 million within the last ninety days; such significant outflows often precede periods of elevated volatility or strategic pivots when management lacks confidence in near-term execution relative to current share prices. The convergence of high valuation, substantial insider distribution, and negative profitability factor adjustments suggests a heightened risk-reward imbalance where downside protection may be limited despite strong historical fundamental scores.

Generated by LLM from quantitative data inputs. May contain inaccuracies. Not investment advice.

DCF Sandbox

Interactive
Market Price
$250.72
Fair Value
$89
Implied Upside
-64.4%
$89IMPLIED FAIR VALUEOVERVALUEDOVERUNDER
Growth Rate (Y1–5)26%
-10%20%50%
Discount Rate (WACC)12.2%
5%12.5%20%

5-year two-stage DCF. Terminal growth 3%. Default sliders match the pre-computed base case. Drag to explore scenarios. Not investment advice.

Reverse DCFMarket-Implied
29.9%annual FCF growth priced in at $250.72

The growth rate the market implicitly expects over the next 10 years to justify today's price. Compare with historical growth of 11% YoY revenue.

Sensitivity Matrix

TG ↓ / WACC →10.2%12.2%14.2%
2%$105$81$65
3%$117$88$70
4%$134$98$76

Center = base case. Green = >10% upside, Red = >10% downside vs $250.72.

Pre-computed DCF: WACC=12.2%, terminal growth 3%. Fair value $88 (-65.5%). Not investment advice.

Valuation Context

59.9x
HWM P/E
44.7x
Sector Avg
28.1x
5Y Avg P/E
+34%
vs Sector

Currently trading 144% above its 5-year average P/E of 28.1x.

Price Chart with Moving Averages

Loading chart...
SMA 50 SMA 200

Technical Setup

AI Generated

The current pricing structure for Howmet Aerospace Inc. at $259.89, situated within the Industrials sector, presents a snapshot where valuation levels must be weighed against underlying volatility and recent drawdown patterns to assess momentum durability. Without explicit trend lines or volume confirmation in the immediate dataset, the elevated price point suggests that market participants are pricing in significant recovery potential, yet this positioning inherently exposes the asset to sharper corrections if fundamental support falters. The interplay between a high current valuation and sector-wide cyclicality implies that any upward movement may be structurally fragile rather than sustainably driven by broad-based demand expansion. Risk dynamics here appear concentrated around the sustainability of recent gains; while the price action indicates strong bullish sentiment, the absence of corroborating data on moving averages or relative strength highlights a potential disconnect between short-term momentum and longer-term earnings fundamentals. A steep drawdown in similar industrial equities often precedes periods where technical breakouts fail to hold, suggesting that the current level could act as a pivot point rather than an inflection zone for sustained growth. Consequently, the market environment favors caution regarding the stability of this specific price formation, as external macroeconomic headwinds or sector rotation could rapidly erode the apparent strength seen in the immediate quote.

RSI (14)
SMA 50
SMA 200

Quant Health Deep Dive

8/9
Piotroski F-Score
Strong — high operational efficiency and profitability signals
12.5
Altman Z-Score
Safe Zone — above 3.0 threshold per academic model. Thresholds: >3 safe, 1.8–3 grey, <1.8 distress.
-2.56
Beneish M-Score
Below threshold — no statistical earnings quality concern per Beneish model. Threshold: <-2.22 = below threshold.

Profitability & Value Creation

34.2%
Gross Margin
18.3%
Net Margin
16.7%
ROIC
12.2%
WACC
ROIC − WACC Spread: +4.5%— Positive spread.
+11.1%
Revenue Growth (YoY)
+30.6%
Earnings Growth (YoY)
1.4B
Free Cash Flow
13%
FCF Payout Ratio

✅ Conservative payout — room for dividend increases.

DuPont Analysis — ROE Decomposition

Breaking down Return on Equity to see how the company generates its ROE — efficiency, margins, or leverage.

18.3%
Net Profit Margin
NI ÷ Revenue
×
0.74x
Asset Turnover
Revenue ÷ Assets
×
2.09x
Equity Multiplier
Assets ÷ Equity
=
28.2%
Return on Equity
✅ ROE driven primarily by strong profit margins — a sign of pricing power.

Balance Sheet Health

1.09x
Debt / Equity
2.13x
Current Ratio
13.2x
Interest Coverage
0.9x
Net Debt / EBITDA
1.38%
FCF Yield
2.3B
EBITDA

Insider Activity (Last 90 Days)

Net Insider Flow
-$12M
Net Selling
0
Buy Transactions
2
Sale Transactions
2026-02-26SHULTZ BARBARA LOUSold 2/8 qtrsSale$260,005
2026-02-18MARCHUK NEIL EDWARDSold 4/8 qtrsSale$11M
2026-02-17CHANATRY MICHAEL NIEMGrant2,693 shares
2026-02-17SHULTZ BARBARA LOUSold 2/8 qtrsGrant446 shares
2026-02-17MARCHUK NEIL EDWARDSold 4/8 qtrsGrant3,881 shares

Open-market buys vs sells by company insiders. Source: yfinance.

Earnings Surprise History

Q4
✓ Beat
Est: $0.78
Act: $0.86
+10.7%
Q3
✓ Beat
Est: $0.87
Act: $0.91
+4.2%
Q2
✓ Beat
Est: $0.91
Act: $0.95
+4.5%
Q1
✓ Beat
Est: $0.97
Act: $1.05
+8.7%

EPS estimates vs actuals for the most recent reported quarters. Source: yfinance.

Dividend History

$0.1200
Latest Dividend
$0.44
2025 Total
+69.2%
YoY Growth
5 yrs
Consecutive Increases
Annual Dividends per Share
$0.07
2016
$0.18
2017
$0.18
2018
$0.09
2019
$0.02
2020
$0.04
2021
$0.10
2022
$0.17
2023
$0.26
2024
$0.44
2025
$0.24
2026
DateAmountChange
2026-05-08$0.12000.0%
2026-02-06$0.12000.0%
2025-11-07$0.12000.0%
2025-08-08$0.1200+20.0%
2025-05-09$0.10000.0%
2025-02-07$0.1000+25.0%
2024-11-08$0.08000.0%
2024-08-09$0.0800+60.0%
2024-05-09$0.05000.0%
2024-02-08$0.05000.0%
2023-11-09$0.0500+25.0%
2023-08-03$0.04000.0%

Dividend and split data from SEC filings and market data. Amounts are per share, not adjusted for splits. Source: yfinance.

Risk Profile

31.6%
Annual Volatility
2.33
Sharpe (1Y)
1.92
Sharpe (3Y)
-19.4%
Max Drawdown (3Y)
-23.2%
Max Drawdown (5Y)

Sharpe = risk-adjusted return (higher is better). Max drawdown = largest peak-to-trough decline. 1,200+ trading days.

Underwater (Drawdown from Peak)

How far below the all-time high the price has been over time. Deeper = more pain for holders.

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Rolling 60-Day Beta vs S&P 500 (VOO)

How the stock's sensitivity to market moves changes over time. β > 1 = more volatile than the market.

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Rolling Beta Market (β = 1.0)

Fama-French 5-Factor Exposure

Academic factor model decomposition — what's really driving this stock's returns.

1.19
Market β
Mkt-RF
-0.000
Size (SMB)
Neutral
+0.278
Value (HML)
Value tilt
-0.013
Profit (RMW)
Neutral
-0.143
Invest (CMA)
Aggressive
Alpha (annual): +41.86%
R²: 33.4%of variance explained by 5 factors

Fama-French 5-Factor Model. Data: Kenneth French Data Library. Regression over 3 years of daily returns.

Fundamentals

42.9
Forward P/E
0.80
PEG Ratio
18.75
Price/Book
2M
Avg Volume
$280.74
52W High
$165.51
52W Low
74%
52W Range Position

Passive Flow Attribution

ETF Draft Effect
$15.8B
Tracked Passive Exposure
8
ETFs Holding HWM
0.24%
Avg Weight in ETFs
$6.5T
Total ETF AUM

When investors buy or sell ETFs like ITA or IWP, the fund manager is mechanically forced to buy or sell HWM shares regardless of Howmet Aerospace Inc.'s individual fundamentals. We estimate $15.8B of passive capital is structurally linked to HWM through 8 tracked ETFs. This substantial passive exposure means that ETF inflows and outflows — not company fundamentals — can dominate daily volume on this stock.

Passive exposure = Σ (ETF AUM × stock weight in ETF) across 8 tracked ETFs. Actual passive ownership is larger (includes mutual funds). Not investment advice.

ETF Contagion Visualizer

Simulate a price drop in Howmet Aerospace Inc. to visualize passive redemption contagion across ETFs and collateral stocks.

HWM Shock
-0%
Est. Passive Redemption
$0
Systemic Risk
STABLE
HWMEpicenterVTIETFVOOETFIVVETFGELow RiskRTXMed RiskBAHigh RiskGELow RiskCATLow Risk
HWM Price Drop (%)0

If Howmet Aerospace Inc. (HWM) experiences a significant drawdown, ETF redemptions can create collateral selling pressure on co-held stocks. Our model identifies GE Aerospace (GE) as the most exposed collateral stock, sharing 1 ETFs with HWM. This is the "Passive Contagion" effect described in the Inelastic Market Hypothesis.

Contagion model based on shared ETF exposure and constituent weights across 32 tracked ETFs. Estimated selling pressure is a simplified model — actual impact depends on market liquidity, ETF redemption mechanics, and market-maker activity.

HWM Ownership Dynamics

Passive funds hold 1 in every 7 HWM shares, reducing daily market volatility.

Ticker
HWM
Total Shares
400M
ETF Lock-Up
14.8%
Display Mode
Total Float Impact
14.8%Locked Float

Howmet Aerospace Inc. (HWM) exerts measurable gravity on the passive index market, currently representing 4.7% of the ITA (ITA) and 3.3% of the IWP (IWP). Across 28 tracked ETFs, approximately 59M shares (14.8% of float) are held by passive funds and rarely trade on the open market. This level of passive ownership means index rebalances can create outsized volume events.

Float lock-up computed from 28 ETFs tracked by SecuritiesDB. Actual passive ownership is higher (includes mutual funds, pension funds, etc.).

HWM Institutional Volume Profile

252-day volume distribution by price level. The Point of Control (POC) marks the price where the most institutional volume transacted — an implicit support/resistance floor.

TICKER
HWM
PRICE
$250.72
FLOOR (POC)
$173.88
STRENGTH
Medium
$168$174POC 12%$18011%$1859%$19110%$197$2036%$2097%$214$220$226$232$237$243$249$250.72$2557%$261$266$272$278
Focus Zone
Point of Control (POC) Support (below price) Resistance (above price) Current Price

The highest-volume price zone for Howmet Aerospace Inc. over the past year sits near $173.88 (12% of 252-day volume). The current price of $250.72 trades 44.2% above this institutional floor — a sign of upside momentum, though a pullback to the POC zone is a common reversion target.

Volume Profile computed from 252 trading days of OHLCV data. Volume allocated to price bins proportionally based on daily high-low range. Not investment advice.

HWM Capital Efficiency

How efficiently does Howmet Aerospace Inc. convert operating profits into free cash? The FCF Conversion ratio measures the gap between accounting earnings and real cash generation.

Free Cash Flow
$1.4B
EBITDA
$2.3B
FCF Conversion
63%
Reinvestment Rate
37%
63% of EBITDA → Free Cash
0% (cash burn)25% (low)50% (efficient)100% (pure cash)
ROIC
16.7%
ROIC − WACC Spread
4.5%

Howmet Aerospace Inc. converts 63% of its EBITDA into free cash flow, an exceptional conversion rate indicating an asset-light business model with minimal capital reinvestment drag. The positive ROIC-WACC spread of 4.5% confirms that reinvested capital creates shareholder value.

Capital efficiency = Free Cash Flow ÷ EBITDA. Reinvestment = (EBITDA − FCF) ÷ EBITDA. Metrics from latest annual filings. Not investment advice.

Fails-to-Deliver (FTD) History

SEC-reported settlement failures. Elevated FTDs can indicate high short-selling pressure, operational settlement issues, or naked shorting activity.

DateFailed SharesClose PriceNotional Value
2026-05-11400$270.56$108,224
2026-05-073,054$256.43$783,137.22
2026-05-042$239.51$479.02
2026-04-153$258.03$774.09
2026-04-1312$252.67$3,032.04
2026-04-07129$236.57$30,517.53
2026-04-011,201$230.46$276,782.46
2026-03-31560$222.99$124,874.4
2026-03-305$227.90$1,139.5
2026-03-25768$239.51$183,943.68
2026-03-2410$236.04$2,360.4
2026-03-232$231.21$462.42
2026-03-20356$232.94$82,926.64
2026-03-19171$241.93$41,370.03
2026-03-17262$240.73$63,071.26
2026-03-1120$253.91$5,078.2
2026-03-10240$254.14$60,993.6
2026-03-02546$262.53$143,341.38
2026-02-17501$250.21$125,355.21
2026-02-1356,665$244.79$13.9M
2026-02-0945$223.16$10,042.2
2026-02-0614,970$209.63$3.1M
2026-02-041,444$213.49$308,279.56
2026-01-261,028$214.89$220,906.92
2026-01-0886,747$210.90$18.3M
2026-01-02279$205.02$57,200.58
2025-12-29119$211.22$25,135.18
2025-12-231,906$208.17$396,772.02
2025-12-221,809$203.49$368,113.41
2025-12-1911,739$198.00$2.3M

Source: SEC Regulation SHO FTD data. Data is reported with a ~30 day delay. High FTD quantities relative to average daily volume may indicate settlement stress.

SEC Comment Letters

SEC correspondence with the company regarding their filings. Comment letters often flag disclosure deficiencies, accounting concerns, or material omissions.

Source: SEC EDGAR correspondence. Comment letters are public records of SEC staff review of company filings.

Price Correlations

Statistical correlation of daily returns with other stocks. High correlations indicate stocks that move together; negative correlations can offer diversification.

Peer252-Day (1Y)126-Day (6M)Direction
WTGXXNaNNaN
GE0.7110.779High co-movement
ATI0.7100.702High co-movement
CRS0.6370.634Moderate
CW0.6280.706Moderate
PWR0.5830.573Moderate
HEI0.5570.632Moderate
WWD0.5550.567Moderate
SARO0.5360.611Moderate
FIX0.5210.521Moderate

Pearson correlation of daily log returns. 252d ≈ 1 trading year. Computed from price history. Not investment advice.

Compare HWM to Peers

Quant metrics computed deterministically from financial statements and price data. Updated: 2026-06-02.

SecuritiesDB provides programmatic data aggregation for informational purposes only. None of the metrics, summaries, or algorithmic flags constitute a recommendation to buy or sell any security.