Curtiss-Wright Corp
NYSE:CW

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Curtiss-Wright Corp Logo
Curtiss-Wright Corp
NYSE:CW
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Price: 361.27 USD 1.63% Market Closed
Market Cap: 13.7B USD
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Balance Sheet

Balance Sheet Decomposition
Curtiss-Wright Corp

Current Assets 2B
Cash & Short-Term Investments 443.9m
Receivables 857.6m
Other Current Assets 650.6m
Non-Current Assets 2.9B
PP&E 486.9m
Intangibles 2.1B
Other Non-Current Assets 330.9m
Current Liabilities 986.7m
Accounts Payable 222.5m
Accrued Liabilities 194.4m
Other Current Liabilities 569.7m
Non-Current Liabilities 1.4B
Long-Term Debt 959.3m
Other Non-Current Liabilities 449.4m

Balance Sheet
Curtiss-Wright Corp

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Balance Sheet
Currency: USD
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
450
289
554
475
276
391
198
171
257
407
Cash Equivalents
450
289
554
475
276
391
198
171
257
407
Total Receivables
496
566
463
495
594
632
589
647
723
733
Accounts Receivables
496
566
463
495
594
632
589
647
723
733
Other Receivables
0
0
0
0
0
0
0
0
0
0
Inventory
389
380
367
379
423
425
429
412
483
510
Other Current Assets
237
40
31
53
51
82
85
78
53
68
Total Current Assets
1 571
1 275
1 415
1 402
1 344
1 530
1 301
1 308
1 516
1 717
PP&E Net
459
414
389
390
375
551
529
504
497
474
PP&E Gross
459
414
389
390
375
551
529
504
497
474
Accumulated Depreciation
532
564
598
648
672
717
757
783
794
842
Intangible Assets
349
311
272
330
430
480
610
538
621
558
Goodwill
999
973
951
1 096
1 088
1 167
1 455
1 463
1 545
1 559
Other Long-Term Assets
22
18
12
18
19
37
127
291
270
313
Other Assets
999
973
951
1 096
1 088
1 167
1 455
1 463
1 545
1 559
Total Assets
3 400
N/A
2 990
-12%
3 038
+2%
3 236
+7%
3 255
+1%
3 764
+16%
4 021
+7%
4 104
+2%
4 448
+8%
4 621
+4%
Liabilities
Accounts Payable
152
163
178
185
233
222
201
212
267
244
Accrued Liabilities
146
136
136
156
174
198
175
178
173
212
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
1
1
151
0
0
1
101
1
204
1
Other Current Liabilities
273
222
211
250
281
324
333
344
338
349
Total Current Liabilities
572
523
675
591
687
745
810
735
981
807
Long-Term Debt
953
952
816
814
762
772
968
1 060
1 060
1 057
Deferred Income Tax
52
54
50
49
47
80
115
147
123
132
Other Liabilities
344
205
206
254
228
393
340
335
303
297
Total Liabilities
1 921
N/A
1 734
-10%
1 747
+1%
1 709
-2%
1 725
+1%
1 990
+15%
2 234
+12%
2 277
+2%
2 467
+8%
2 293
-7%
Equity
Common Stock
49
49
49
49
49
49
49
49
49
49
Retained Earnings
1 469
1 591
1 755
1 944
2 192
2 497
2 670
2 909
3 163
3 488
Additional Paid In Capital
158
145
130
121
118
116
123
127
135
140
Treasury Stock
70
303
351
370
540
563
744
1 068
1 107
1 135
Other Equity
128
226
292
217
288
325
311
190
259
213
Total Equity
1 478
N/A
1 255
-15%
1 291
+3%
1 528
+18%
1 531
+0%
1 774
+16%
1 788
+1%
1 826
+2%
1 981
+8%
2 328
+18%
Total Liabilities & Equity
3 400
N/A
2 990
-12%
3 038
+2%
3 236
+7%
3 255
+1%
3 764
+16%
4 021
+7%
4 104
+2%
4 448
+8%
4 621
+4%
Shares Outstanding
Common Shares Outstanding
48
45
44
44
43
43
41
38
38
38

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