session close: 509.25session change: -0.60%
LMT on the exchangeMarket closedAlpacalast close 30 Sep
The close is The distance under the 52-week high: 26.4% under the 52-week high.
26.4% under the high
The 52-week high: 692.002 Mar 2026Sources: Alpaca, Finnhub
The close: 509.25 USDThe session move: -0.60%
Source: Alpaca
Analysts keep raising their numbers.
The earnings estimate for the fiscal year rose over 90 days, and rising estimates are the most direct lift under a price.
Operating margin is widening.
Each dollar of sales keeps more profit, so earnings can grow faster than revenue.
Analysts have warmed to it.
A larger share of them recommend it than 3 months ago, and upgrades tend to bring in the money that follows the calls.
Sources: Finnhub, Alpha Vantage
Below its 50-day and 200-day averages.
Trend followers stand aside under the 200-day average, so rallies meet less buying until the price gets back above it.
Still well under its 52-week high.
Holders who bought near the high are underwater, and their exits tend to cap rallies on the way back up.
Next report Next report: 27 Oct 2026; the high is The distance to the 52-week high: 35.9% above the close.
Next report: 27 Oct 2026
before the openThe 52-week high: 692.00
35.9% above the closeSources: Alpaca, Finnhub, GeckoTerminal
Carries more debt than equity.
Heavy debt makes higher rates or a weak quarter bite harder, and lenders are paid before shareholders.
Sources: Alpaca, Finnhub
The close is The distance under the 52-week high: 26.4% under the 52-week high.
Next report Next report: 27 Oct 2026; the high is The distance to the 52-week high: 35.9% above the close.
Analysts keep raising their numbers.
The earnings estimate for the fiscal year rose over 90 days, and rising estimates are the most direct lift under a price.
Operating margin is widening.
Each dollar of sales keeps more profit, so earnings can grow faster than revenue.
Analysts have warmed to it.
A larger share of them recommend it than 3 months ago, and upgrades tend to bring in the money that follows the calls.
Sources: Finnhub, Alpha Vantage
Below its 50-day and 200-day averages.
Trend followers stand aside under the 200-day average, so rallies meet less buying until the price gets back above it.
Still well under its 52-week high.
Holders who bought near the high are underwater, and their exits tend to cap rallies on the way back up.
Carries more debt than equity.
Heavy debt makes higher rates or a weak quarter bite harder, and lenders are paid before shareholders.
Sources: Alpaca, Finnhub