Kaman Key Executives

This section highlights Kaman's key executives, including their titles and compensation details.

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Kaman Earnings

This section highlights Kaman's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date:
Time:
Est. EPS: $-
Status: Unconfirmed

Last Earnings Results

Date: May 07, 2024
EPS: $0.08
Est. EPS: $-
Revenue: $-

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q3 2023 2023-11-05 N/A N/A
Read Transcript Q2 2023 2023-08-06 N/A N/A
Read Transcript Q1 2023 2023-05-04 N/A N/A

Kaman Corporation (KAMN)

Kaman Corporation, together with its subsidiaries, operates in the aerospace, defense, medical, and industrial markets. The company operates through three segments: Engineered Products, Precision Products, and Structures. The Engineered Products segment produces and markets aircraft bearings and components; super precision miniature ball bearings; and spring energized seals, springs, and contacts. The Precision Products segment provides safe and arming solutions for missile and bomb systems for the U.S. and allied militaries; undertakes subcontract helicopter works; restores, modifies, and supports its SH-2G Super Seasprite maritime helicopters; and manufactures and supports heavy lift K-MAX manned helicopter, the K-MAX TITAN unmanned aerial system, and the KARGO UAV unmanned aerial system. The Structures segment offers metallic and composite aero structures for commercial, military, and general aviation fixed and rotary wing aircrafts; and medical imaging solutions. The company operates in North America, Europe, the Middle East, Asia, Oceania, and internationally. Kaman Corporation was incorporated in 1945 and is headquartered in Bloomfield, Connecticut.

Industrials Aerospace & Defense

$45.99

Stock Price

$1.30B

Market Cap

3.03K

Employees

Bloomfield, CT

Location

Financial Statements

Access annual & quarterly financial statements for Kaman, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019
Revenue $775.85M $687.96M $708.99M $784.46M $761.61M
Cost of Revenue $505.71M $509.01M $472.38M $538.88M $520.80M
Gross Profit $270.14M $178.95M $236.62M $245.58M $240.81M
Gross Profit Ratio 34.80% 26.01% 33.40% 31.31% 31.62%
Research and Development Expenses $20.70M $19.55M $16.07M $14.10M $11.60M
General and Administrative Expenses $- $- $- $- $-
Selling and Marketing Expenses $- $- $- $- $-
Selling General and Administrative Expenses $170.91M $166.45M $152.47M $199.91M $177.19M
Other Expenses $1.58M $15.33M $10.47M $16.98M $705.00K
Operating Expenses $217.12M $201.33M $179.01M $199.91M $177.19M
Cost and Expenses $722.83M $710.34M $651.39M $738.78M $697.99M
Interest Income $- $16.87M $16.29M $19.27M $17.20M
Interest Expense $40.00M $16.87M $16.29M $19.27M $17.20M
Depreciation and Amortization $50.04M $40.71M $36.65M $43.90M $36.77M
EBITDA $103.06M $15.36M $120.48M $89.58M $89.47M
EBITDA Ratio 13.49% 2.00% 17.01% 13.58% 11.84%
Operating Income $49.10M $-2.12M $83.97M $62.65M $53.41M
Operating Income Ratio 6.33% -0.31% 11.84% 7.99% 7.01%
Total Other Income Expenses Net $-38.42M $-63.81M $11.01M $-140.82M $-12.82M
Income Before Tax $10.69M $-62.96M $60.51M $-78.16M $40.59M
Income Before Tax Ratio 1.38% -9.15% 8.53% -9.96% 5.33%
Income Tax Expense $2.74M $-16.73M $16.83M $-7.73M $-15.86M
Net Income $7.95M $-46.23M $43.67M $-70.43M $56.45M
Net Income Ratio 1.02% -6.72% 6.16% -8.98% 7.41%
EPS $0.28 $-1.65 $1.57 $-2.54 $2.02
EPS Diluted $0.28 $-1.65 $1.57 $-2.54 $2.01
Weighted Average Shares Outstanding 28.21M 28.01M 27.86M 27.72M 27.94M
Weighted Average Shares Outstanding Diluted 28.34M 28.01M 27.89M 27.72M 28.09M
SEC Filing Source Source Source Source Source


Breakdown December 31, 2023 September 29, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 July 01, 2022 April 01, 2022 December 31, 2021 October 01, 2021 July 02, 2021 April 02, 2021 December 31, 2020 October 02, 2020 July 03, 2020 April 03, 2020 December 31, 2019 September 27, 2019 June 28, 2019 March 29, 2019
Revenue $203.12M $183.03M $195.16M $194.54M $197.14M $172.00M $160.77M $158.05M $175.15M $179.84M $182.39M $171.62M $185.29M $213.96M $177.89M $207.32M $237.79M $182.67M $174.71M $457.39M
Cost of Revenue $136.45M $118.39M $122.92M $127.00M $176.71M $116.18M $108.66M $107.46M $116.44M $116.77M $120.45M $118.71M $130.95M $147.08M $121.22M $139.62M $165.23M $121.54M $122.12M $320.60M
Gross Profit $66.67M $64.64M $72.24M $67.54M $20.43M $55.83M $52.11M $50.59M $58.70M $63.06M $61.95M $52.91M $54.34M $66.88M $56.67M $67.70M $72.56M $61.13M $52.59M $136.78M
Gross Profit Ratio 32.80% 35.30% 37.00% 34.70% 10.40% 32.50% 32.40% 32.00% 33.50% 35.10% 34.00% 30.80% 29.33% 31.26% 31.86% 32.66% 30.51% 33.47% 30.10% 29.91%
Research and Development Expenses $5.58M $4.02M $5.19M $5.91M $5.29M $3.94M $5.21M $5.11M $6.07M $2.54M $3.24M $4.23M $3.52M $3.63M $2.85M $- $12.20M $- $- $-
General and Administrative Expenses $41.33M $- $41.33M $- $- $- $- $- $38.72M $- $38.72M $- $- $- $- $- $- $- $- $-
Selling and Marketing Expenses $1.82M $- $- $- $- $- $- $- $-2.43M $- $- $- $- $- $- $- $- $- $- $-
Selling General and Administrative Expenses $43.15M $42.50M $41.33M $43.70M $38.47M $49.01M $39.25M $39.72M $36.29M $39.34M $38.72M $44.99M $48.81M $45.22M $44.88M $60.99M $49.57M $43.85M $41.81M $113.22M
Other Expenses $1.03M $-539.00K $-99.00K $7.15M $7.31M $3.12M $2.44M $2.47M $6.81M $6.78M $6.42M $6.35M $4.37M $4.60M $4.17M $3.85M $40.00K $-86.00K $563.00K $190.00K
Operating Expenses $54.30M $52.12M $53.71M $56.76M $51.06M $56.06M $46.90M $47.30M $44.93M $44.50M $44.59M $44.99M $48.81M $45.22M $44.88M $60.99M $49.57M $43.85M $41.81M $113.22M
Cost and Expenses $190.75M $170.51M $176.63M $183.75M $227.77M $172.24M $155.56M $154.76M $161.38M $161.27M $165.04M $163.70M $179.76M $192.31M $166.10M $200.61M $214.80M $165.39M $163.93M $433.82M
Interest Income $- $9.40M $10.34M $9.60M $8.79M $3.61M $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Interest Expense $10.65M $9.40M $10.34M $9.60M $8.79M $3.61M $1.99M $2.48M $4.06M $3.65M $4.33M $4.25M $4.89M $5.33M $5.81M $3.25M $2.61M $4.06M $5.24M $5.31M
Depreciation and Amortization $11.79M $11.80M $13.29M $13.15M $20.92M $9.38M $8.82M $8.83M $2.57M $9.08M $9.18M $9.21M $11.70M $12.39M $10.30M $9.51M $6.55M $6.94M $2.35M $10.01M
EBITDA $24.17M $23.78M $31.72M $23.94M $-91.92M $13.14M $18.36M $17.38M $22.95M $34.43M $32.95M $23.48M $21.59M $-38.93M $26.26M $20.07M $23.03M $24.14M $13.70M $33.77M
EBITDA Ratio 12.40% 12.99% 16.25% 12.00% -4.93% 7.60% 11.42% 10.68% 13.22% 19.15% 18.07% 13.68% 11.65% 18.06% 14.76% 9.68% 9.68% 13.21% 7.84% 7.38%
Operating Income $11.98M $11.87M $17.57M $11.74M $-30.63M $3.68M $9.54M $8.04M $13.09M $15.96M $14.83M $5.61M $-38.19M $-38.93M $-2.77M $-4.42M $14.84M $15.63M $10.57M $23.36M
Operating Income Ratio 5.90% 6.49% 9.00% 6.03% -15.54% 2.14% 5.93% 5.09% 7.47% 8.88% 8.13% 3.27% -20.61% -18.19% -1.56% -2.13% 6.24% 8.55% 6.05% 5.11%
Total Other Income Expenses Net $-11.38M $-10.90M $-10.20M $-11.19M $-43.04M $307.00K $-582.00K $-3.21M $2.76M $3.15M $2.53M $2.58M $64.00K $1.10M $1.41M $3.57M $-8.09M $-3.20M $-4.67M $-5.12M
Income Before Tax $2.36M $1.93M $7.37M $-24.00K $-73.67M $753.00K $4.62M $5.33M $15.85M $19.11M $17.36M $8.19M $-38.13M $-37.83M $-1.36M $-850.00K $15.00M $12.43M $5.90M $18.24M
Income Before Tax Ratio 1.16% 1.05% 3.78% -0.01% -37.37% 0.44% 2.87% 3.38% 9.05% 10.63% 9.52% 4.77% -20.58% -17.68% -0.76% -0.41% 6.31% 6.80% 3.38% 3.99%
Income Tax Expense $367.00K $462.00K $2.12M $-5.00K $-18.72M $128.00K $557.00K $1.31M $6.68M $4.45M $5.50M $207.00K $-6.71M $679.00K $-1.26M $-443.00K $-19.10M $2.30M $-487.00K $4.12M
Net Income $2.00M $1.47M $5.25M $-19.00K $-54.94M $625.00K $4.06M $4.03M $9.17M $14.67M $11.86M $7.98M $-31.42M $-38.51M $-100.00K $285.00K $39.46M $142.78M $13.47M $14.12M
Net Income Ratio 0.98% 0.80% 2.69% -0.01% -27.87% 0.36% 2.53% 2.55% 5.24% 8.16% 6.50% 4.65% -16.96% -18.00% -0.06% 0.14% 16.60% 78.16% 7.71% 3.09%
EPS $0.07 $0.05 $0.19 $0.00 $-1.96 $0.02 $0.15 $0.14 $0.33 $0.53 $0.43 $0.29 $-1.13 $-1.39 $0.00 $0.01 $1.41 $5.11 $0.48 $0.51
EPS Diluted $0.07 $0.05 $0.19 $0.00 $-1.96 $0.02 $0.14 $0.14 $0.33 $0.53 $0.42 $0.29 $-1.13 $-1.39 $0.00 $0.01 $1.41 $5.08 $0.48 $0.50
Weighted Average Shares Outstanding 28.27M 28.25M 28.20M 28.12M 28.05M 28.04M 28.00M 27.95M 27.90M 27.88M 27.87M 27.82M 27.69M 27.69M 27.66M 27.81M 27.92M 27.95M 27.96M 27.91M
Weighted Average Shares Outstanding Diluted 28.40M 28.35M 28.36M 28.12M 28.05M 28.09M 28.06M 28.08M 27.90M 27.89M 27.91M 27.87M 27.69M 27.69M 27.66M 27.89M 28.06M 28.12M 28.12M 28.07M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019
Cash and Cash Equivalents $35.18M $24.15M $140.80M $104.38M $471.54M
Short Term Investments $- $- $- $- $-
Cash and Short Term Investments $35.18M $24.15M $140.80M $104.38M $471.54M
Net Receivables $190.97M $200.84M $185.88M $262.45M $278.11M
Inventory $207.61M $176.47M $193.10M $185.07M $156.35M
Other Current Assets $18.68M $26.87M $26.77M $46.07M $30.49M
Total Current Assets $452.44M $431.56M $546.54M $597.97M $936.49M
Property Plant Equipment Net $212.98M $209.00M $208.83M $223.73M $155.61M
Goodwill $384.00M $379.85M $240.68M $247.24M $195.31M
Intangible Assets $347.42M $372.33M $138.07M $150.20M $53.44M
Goodwill and Intangible Assets $731.42M $752.18M $378.75M $397.44M $248.75M
Long Term Investments $- $50.53M $38.38M $39.12M $36.75M
Tax Assets $46.92M $47.38M $15.72M $39.81M $35.24M
Other Non-Current Assets $54.89M $673.00K $10.25M $8.31M $6.10M
Total Non-Current Assets $1.05B $1.06B $651.94M $708.42M $482.45M
Other Assets $- $- $- $- $-
Total Assets $1.50B $1.49B $1.20B $1.31B $1.42B
Account Payables $51.86M $48.28M $42.13M $60.20M $70.88M
Short Term Debt $202.62M $3.33M $4.50M $4.30M $4.31M
Tax Payables $707.00K $393.00K $386.00K $19.00K $4.72M
Deferred Revenue $12.28M $4.08M $2.94M $39.07M $42.94M
Other Current Liabilities $75.33M $70.49M $70.97M $124.81M $81.14M
Total Current Liabilities $342.80M $126.58M $120.94M $228.41M $203.99M
Long Term Debt $363.48M $567.60M $199.19M $199.04M $193.24M
Deferred Revenue Non-Current $19.79M $20.52M $16.53M $11.02M $37.85M
Deferred Tax Liabilities Non-Current $8.08M $6.08M $6.51M $7.38M $6.99M
Other Non-Current Liabilities $72.74M $86.59M $75.52M $114.10M $153.66M
Total Non-Current Liabilities $464.09M $680.78M $281.22M $331.54M $391.75M
Other Liabilities $- $- $- $- $-
Total Liabilities $806.89M $807.35M $402.15M $559.96M $595.74M
Preferred Stock $- $- $- $- $-
Common Stock $30.95M $30.64M $30.43M $30.28M $30.06M
Retained Earnings $670.61M $688.46M $750.45M $728.76M $820.67M
Accumulated Other Comprehensive Income Loss $-141.58M $-158.42M $-111.39M $-130.82M $-150.89M
Other Total Stockholders Equity $131.79M $123.30M $126.83M $118.22M $123.37M
Total Stockholders Equity $691.77M $683.98M $796.33M $746.44M $823.20M
Total Equity $691.77M $683.98M $796.33M $746.44M $823.20M
Total Liabilities and Stockholders Equity $1.50B $1.49B $1.20B $1.31B $1.42B
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $1.50B $1.49B $1.20B $1.31B $1.42B
Total Investments $- $50.53M $38.38M $39.12M $36.75M
Total Debt $566.10M $570.93M $201.06M $203.35M $197.54M
Net Debt $530.91M $546.77M $60.26M $98.97M $-274.00M


Balance Sheet Charts

Breakdown December 31, 2023 September 29, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 July 01, 2022 April 01, 2022 December 31, 2021 October 01, 2021 July 02, 2021 April 02, 2021 December 31, 2020 October 02, 2020 July 03, 2020 April 03, 2020 December 31, 2019 September 27, 2019 June 28, 2019 March 29, 2019
Cash and Cash Equivalents $35.18M $30.07M $34.28M $53.99M $24.15M $31.36M $80.24M $129.10M $140.80M $121.46M $98.36M $120.72M $104.38M $152.29M $235.61M $270.71M $471.54M $509.99M $17.02M $28.36M
Short Term Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Cash and Short Term Investments $35.18M $30.07M $34.28M $53.99M $24.15M $31.36M $80.24M $129.10M $140.80M $121.46M $98.36M $120.72M $104.38M $152.29M $235.61M $270.71M $471.54M $509.99M $17.02M $28.36M
Net Receivables $190.97M $207.36M $106.24M $218.78M $200.84M $236.17M $186.98M $168.18M $185.88M $209.67M $213.91M $216.93M $262.45M $312.39M $307.63M $304.57M $278.11M $249.47M $219.57M $382.08M
Inventory $207.61M $201.44M $192.78M $186.50M $176.47M $221.81M $214.69M $209.53M $193.10M $195.70M $196.13M $197.30M $185.07M $188.20M $207.34M $193.18M $156.35M $173.14M $163.01M $313.89M
Other Current Assets $18.68M $25.74M $127.58M $22.98M $30.09M $16.57M $33.22M $29.59M $26.77M $18.14M $20.82M $22.53M $46.07M $55.76M $58.37M $56.74M $30.49M $21.16M $386.43M $44.63M
Total Current Assets $452.44M $464.60M $460.89M $482.24M $431.56M $505.91M $515.13M $536.40M $546.54M $544.98M $529.23M $557.49M $597.97M $708.63M $808.94M $825.20M $936.49M $953.76M $786.03M $768.97M
Property Plant Equipment Net $212.98M $210.03M $209.82M $209.88M $209.00M $206.39M $201.39M $207.14M $208.83M $211.05M $216.73M $219.19M $223.73M $233.28M $231.93M $233.75M $155.61M $152.23M $154.58M $271.75M
Goodwill $384.00M $380.24M $382.97M $382.50M $379.85M $390.73M $233.13M $238.07M $240.68M $242.37M $244.48M $243.69M $247.24M $252.71M $304.77M $294.80M $195.31M $191.22M $195.33M $343.99M
Intangible Assets $347.42M $352.21M $358.33M $365.43M $372.33M $385.48M $131.40M $134.99M $138.07M $141.06M $144.20M $146.63M $150.20M $144.13M $141.63M $149.65M $53.44M $53.90M $56.05M $87.74M
Goodwill and Intangible Assets $731.42M $732.45M $741.30M $747.93M $752.18M $776.21M $364.54M $373.06M $378.75M $383.42M $388.68M $390.31M $397.44M $396.84M $446.40M $444.45M $248.75M $245.12M $251.39M $431.73M
Long Term Investments $- $- $55.52M $50.79M $50.53M $50.44M $50.94M $37.94M $38.38M $37.81M $37.55M $39.00M $39.12M $38.33M $36.77M $36.10M $36.75M $32.08M $30.90M $31.06M
Tax Assets $46.92M $45.88M $45.59M $47.82M $47.38M $15.71M $15.34M $15.60M $15.72M $34.06M $36.14M $37.54M $39.81M $26.39M $30.18M $31.41M $35.24M $39.34M $39.80M $22.96M
Other Non-Current Assets $54.89M $54.83M $- $- $673.00K $9.87M $10.77M $10.11M $10.25M $10.39M $8.33M $7.21M $8.31M $8.44M $5.86M $6.65M $6.10M $7.82M $302.14M $9.50M
Total Non-Current Assets $1.05B $1.04B $1.05B $1.06B $1.06B $1.06B $642.96M $643.86M $651.94M $676.73M $687.44M $693.25M $708.42M $703.28M $751.14M $752.36M $482.45M $476.59M $778.81M $767.00M
Other Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $1.50B $1.51B $1.51B $1.54B $1.49B $1.56B $1.16B $1.18B $1.20B $1.22B $1.22B $1.25B $1.31B $1.41B $1.56B $1.58B $1.42B $1.43B $1.56B $1.54B
Account Payables $51.86M $45.89M $49.88M $47.19M $48.28M $37.27M $32.19M $41.45M $42.13M $38.74M $36.54M $45.89M $60.20M $53.94M $58.27M $65.68M $70.88M $57.14M $54.09M $149.08M
Short Term Debt $202.62M $201.96M $201.62M $3.12M $3.33M $3.63M $3.90M $4.33M $4.50M $4.21M $4.00M $4.06M $4.30M $4.85M $4.54M $4.47M $4.31M $4.64M $131.86M $34.34M
Tax Payables $707.00K $2.21M $1.33M $170.00K $393.00K $183.00K $239.00K $443.00K $386.00K $1.23M $1.55M $1.20M $19.00K $1.45M $2.30M $3.93M $4.72M $58.49M $- $1.94M
Deferred Revenue $12.28M $7.88M $7.83M $6.04M $4.08M $3.93M $2.89M $2.81M $2.94M $10.72M $17.27M $32.62M $39.07M $38.23M $43.74M $43.58M $42.94M $35.98M $30.71M $34.28M
Other Current Liabilities $75.33M $76.57M $68.01M $70.47M $70.49M $70.36M $65.92M $62.67M $70.97M $82.93M $72.97M $76.03M $124.81M $95.80M $89.30M $81.13M $81.14M $82.32M $235.63M $98.74M
Total Current Liabilities $342.80M $334.52M $328.66M $127.00M $126.58M $115.37M $105.14M $111.70M $120.94M $137.83M $132.34M $159.80M $228.41M $194.28M $198.14M $198.80M $203.99M $238.57M $421.57M $318.39M
Long Term Debt $363.48M $385.45M $387.46M $613.23M $567.60M $614.37M $202.94M $203.68M $196.56M $195.96M $196.04M $195.01M $199.04M $296.74M $394.55M $394.30M $193.24M $192.95M $193.09M $338.82M
Deferred Revenue Non-Current $19.79M $19.65M $19.62M $20.33M $20.52M $20.48M $16.53M $16.53M $16.53M $15.43M $14.32M $12.12M $11.02M $16.40M $26.06M $38.96M $37.85M $55.10M $72.08M $72.08M
Deferred Tax Liabilities Non-Current $8.08M $6.49M $6.80M $6.37M $6.08M $6.19M $6.35M $6.14M $6.51M $7.18M $7.29M $7.21M $7.38M $6.02M $6.72M $6.71M $6.99M $7.18M $7.48M $7.49M
Other Non-Current Liabilities $72.74M $82.38M $84.25M $87.78M $86.59M $41.51M $64.72M $71.99M $78.15M $78.55M $87.46M $109.39M $114.10M $144.20M $157.27M $180.53M $191.52M $202.70M $284.52M $229.11M
Total Non-Current Liabilities $464.09M $493.98M $498.14M $727.71M $680.78M $682.55M $274.01M $281.81M $281.22M $297.12M $305.12M $323.72M $331.54M $446.96M $558.54M $581.53M $391.75M $402.83M $485.10M $575.41M
Other Liabilities $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $806.89M $828.50M $826.80M $854.70M $807.35M $797.92M $379.15M $393.51M $402.15M $434.95M $437.45M $483.52M $559.96M $641.23M $756.69M $780.33M $595.74M $641.40M $906.67M $893.80M
Preferred Stock $131.66M $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $30.95M $30.91M $30.83M $30.77M $30.64M $30.62M $30.58M $30.55M $30.43M $30.41M $30.40M $30.37M $30.28M $30.23M $30.21M $30.14M $30.06M $29.85M $29.72M $29.64M
Retained Earnings $670.61M $674.27M $678.46M $682.81M $688.46M $749.01M $753.99M $755.52M $750.45M $746.30M $737.20M $730.91M $728.76M $765.72M $809.77M $815.40M $820.67M $786.80M $649.61M $641.74M
Accumulated Other Comprehensive Income Loss $-141.58M $-154.79M $-150.46M $-154.79M $-158.42M $-134.26M $-125.20M $-115.84M $-111.39M $-115.32M $-111.85M $-114.47M $-130.82M $-140.97M $-151.21M $-160.61M $-150.89M $-159.36M $-153.71M $-157.97M
Other Total Stockholders Equity $131.79M $128.91M $127.51M $125.17M $123.30M $121.24M $119.58M $116.52M $126.83M $125.36M $123.46M $120.40M $118.22M $115.70M $114.62M $112.30M $123.37M $131.65M $132.54M $128.76M
Total Stockholders Equity $691.77M $679.29M $686.33M $683.96M $683.98M $766.61M $778.94M $786.75M $796.33M $786.75M $779.21M $767.22M $746.44M $770.68M $803.40M $797.23M $823.20M $788.94M $658.17M $642.17M
Total Equity $691.77M $679.29M $686.33M $683.96M $683.98M $766.61M $778.94M $786.75M $796.33M $786.75M $779.21M $767.22M $746.44M $770.68M $803.40M $797.23M $823.20M $788.94M $658.17M $642.17M
Total Liabilities and Stockholders Equity $1.50B $1.51B $1.51B $1.54B $1.49B $1.56B $1.16B $1.18B $1.20B $1.22B $1.22B $1.25B $1.31B $1.41B $1.56B $1.58B $1.42B $1.43B $1.56B $1.54B
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $1.50B $1.51B $1.51B $1.54B $1.49B $1.56B $1.16B $1.18B $1.20B $1.22B $1.22B $1.25B $1.31B $1.41B $1.56B $1.58B $1.42B $1.43B $1.56B $1.54B
Total Investments $- $- $55.52M $50.79M $50.53M $50.44M $50.94M $37.94M $38.38M $37.81M $37.55M $39.00M $39.12M $38.33M $36.77M $36.10M $36.75M $32.08M $30.90M $31.06M
Total Debt $566.10M $587.42M $589.08M $616.35M $570.93M $618.00M $206.84M $208.01M $201.06M $200.18M $200.04M $199.07M $203.35M $301.59M $399.08M $398.77M $197.54M $197.59M $324.95M $373.16M
Net Debt $530.91M $557.35M $554.80M $562.37M $546.77M $586.64M $126.59M $78.91M $60.26M $78.72M $101.68M $78.34M $98.97M $149.31M $163.48M $128.06M $-274.00M $-312.40M $307.94M $344.81M

Annual Cash Flow

Breakdown December 31, 2023 December 31, 2022 December 31, 2021 December 31, 2020 December 31, 2019
Net Income $7.95M $-46.23M $43.68M $-70.43M $56.45M
Depreciation and Amortization $50.04M $40.71M $36.65M $43.90M $25.85M
Deferred Income Tax $-1.12M $-19.05M $21.00M $-6.05M $182.00K
Stock Based Compensation $7.68M $7.82M $6.69M $4.98M $4.67M
Change in Working Capital $2.14M $-45.34M $-40.83M $-47.74M $-51.62M
Accounts Receivables $-10.75M $-8.39M $78.37M $7.04M $-8.17M
Inventory $-35.72M $-17.85M $-10.36M $-18.48M $-25.13M
Accounts Payables $3.44M $1.96M $-18.40M $-9.23M $14.03M
Other Working Capital $45.17M $-21.07M $-90.44M $-27.07M $-32.35M
Other Non Cash Items $6.03M $83.06M $-18.49M $91.82M $-43.33M
Net Cash Provided by Operating Activities $72.72M $20.97M $48.70M $16.47M $-7.80M
Investments in Property Plant and Equipment $-26.00M $-23.69M $-17.53M $-17.78M $-22.45M
Acquisitions Net $-1.49M $-450.14M $-3.43M $-304.17M $655.23M
Purchases of Investments $- $-10.00M $- $- $-
Sales Maturities of Investments $- $10.00M $- $- $-
Other Investing Activities $-1.63M $778.00K $-154.00K $3.23M $-14.30M
Net Cash Used for Investing Activities $-29.12M $-473.05M $-21.11M $-318.72M $618.48M
Debt Repayment $- $- $- $- $-
Common Stock Issued $5.00M $- $- $4.30M $-
Common Stock Repurchased $-782.00K $-801.00K $-618.00K $-14.21M $-30.06M
Dividends Paid $-22.52M $-22.36M $-22.24M $-22.21M $-22.34M
Other Financing Activities $-10.35M $358.29M $8.00K $-11.32M $-122.40M
Net Cash Used Provided by Financing Activities $-32.87M $335.92M $-22.23M $-33.53M $-144.75M
Effect of Forex Changes on Cash $302.00K $-487.00K $-642.00K $337.00K $-269.00K
Net Change in Cash $11.03M $-116.65M $4.71M $-335.45M $443.83M
Cash at End of Period $35.18M $24.15M $140.80M $136.09M $471.54M
Cash at Beginning of Period $24.15M $140.80M $136.09M $471.54M $27.71M
Operating Cash Flow $72.72M $20.97M $48.70M $16.47M $-7.80M
Capital Expenditure $-26.00M $-23.69M $-17.53M $-17.78M $-22.45M
Free Cash Flow $46.71M $-2.72M $31.17M $-1.31M $-30.25M

Cash Flow Charts

Breakdown December 31, 2023 September 29, 2023 June 30, 2023 March 31, 2023 December 31, 2022 September 30, 2022 July 01, 2022 April 01, 2022 December 31, 2021 October 01, 2021 July 02, 2021 April 02, 2021 December 31, 2020 October 02, 2020 July 03, 2020 April 03, 2020 December 31, 2019 September 27, 2019 June 28, 2019 March 29, 2019
Net Income $2.00M $1.47M $4.50M $-19.00K $-54.94M $625.00K $4.06M $4.03M $9.17M $14.67M $11.86M $7.98M $-31.42M $-38.51M $-100.00K $-407.00K $34.10M $10.13M $-1.91M $14.12M
Depreciation and Amortization $11.79M $11.80M $13.29M $13.15M $13.68M $9.38M $8.82M $8.83M $9.18M $9.08M $9.18M $9.21M $11.70M $12.39M $10.30M $9.51M $6.55M $6.94M $2.35M $10.01M
Deferred Income Tax $-1.33M $-831.00K $1.71M $-669.00K $-20.65M $-450.00K $3.30M $-1.25M $16.18M $1.86M $1.16M $1.79M $-12.64M $2.47M $631.00K $3.49M $3.92M $-491.00K $-4.40M $1.15M
Stock Based Compensation $2.49M $1.26M $1.93M $2.00M $1.68M $1.33M $2.73M $2.08M $1.00M $1.46M $2.48M $1.74M $725.00K $664.00K $1.96M $1.63M $700.00K $412.00K $1.68M $1.88M
Change in Working Capital $27.37M $-3.88M $-49.00K $-21.30M $35.81M $-19.43M $-45.93M $-15.80M $-2.57M $240.00K $-38.29M $-205.00K $62.65M $-1.44M $-37.43M $-71.52M $-16.33M $-18.88M $-10.52M $-5.89M
Accounts Receivables $9.99M $-5.87M $-691.00K $-14.18M $15.25M $-18.21M $-9.74M $4.31M $6.93M $18.20M $2.98M $50.25M $26.60M $-8.19M $-4.84M $-6.53M $-25.82M $-30.62M $7.75M $40.52M
Inventory $-4.77M $-9.86M $-11.50M $-9.60M $3.34M $3.22M $-7.13M $-17.29M $2.08M $-230.00K $1.45M $-13.65M $-212.00K $19.76M $-12.82M $-25.21M $18.01M $-11.48M $-12.19M $-19.48M
Accounts Payables $5.86M $-3.92M $2.65M $-1.15M $10.74M $921.00K $-9.09M $-612.00K $3.43M $2.24M $-9.36M $-14.71M $9.03M $-4.39M $-7.47M $-6.41M $13.33M $3.38M $6.92M $-9.59M
Other Working Capital $16.29M $15.77M $9.49M $3.63M $6.48M $-5.37M $-19.97M $-2.21M $-15.01M $-19.97M $-33.36M $-22.10M $27.24M $-8.62M $-12.30M $-33.38M $-21.84M $19.84M $-13.01M $-17.34M
Other Non Cash Items $730.00K $1.05M $2.88M $1.37M $79.10M $1.80M $1.08M $1.09M $1.62M $1.53M $1.30M $-22.94M $37.84M $51.45M $678.00K $1.85M $-40.74M $4.15M $-8.10M $1.36M
Net Cash Provided by Operating Activities $43.04M $10.87M $24.26M $-5.45M $54.67M $-6.75M $-25.94M $-1.02M $34.58M $28.85M $-12.31M $-2.42M $68.85M $27.02M $-23.96M $-55.44M $-11.79M $2.27M $-20.91M $22.64M
Investments in Property Plant and Equipment $-6.14M $-7.03M $-6.89M $-5.95M $-6.06M $-7.11M $-3.64M $-6.88M $-6.17M $-3.26M $-3.42M $-4.68M $-3.55M $-4.64M $-4.03M $-5.56M $-5.04M $-6.04M $-3.95M $-7.42M
Acquisitions Net $- $- $- $-1.49M $8.80M $-440.14M $-10.00M $- $3.43M $- $-54.00K $-3.43M $-493.00K $- $-319.00K $-303.85M $- $- $- $-
Purchases of Investments $- $- $- $- $-10.00M $- $-10.00M $- $- $- $- $- $- $- $- $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $-10.00M $- $10.00M $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Investing Activities $-919.00K $312.00K $343.00K $-1.36M $10.74M $-103.00K $917.00K $424.00K $-3.08M $169.00K $-677.00K $6.00K $596.00K $-1.73M $-771.00K $5.63M $-2.96M $649.10M $-4.54M $-667.00K
Net Cash Used for Investing Activities $-7.06M $-6.72M $-6.54M $-8.80M $-6.52M $-447.35M $-12.73M $-6.45M $-5.82M $-3.09M $-4.10M $-8.10M $-3.45M $-6.37M $-5.12M $-303.78M $-8.00M $643.06M $-8.49M $-8.09M
Debt Repayment $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Issued $19.17M $1.03M $- $- $49.04M $-406.12M $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock Repurchased $-2.00K $-277.00K $- $-503.00K $-39.00K $-64.00K $-123.00K $-575.00K $-159.00K $-69.00K $-46.00K $-344.00K $-5.00K $-37.00K $-96.00K $-14.07M $-18.05M $-8.94M $-112.00K $-2.95M
Dividends Paid $-5.65M $-5.64M $-5.63M $-5.61M $-5.60M $-5.60M $-5.59M $-5.57M $-5.57M $-5.57M $-5.56M $-5.54M $-5.54M $-5.53M $-5.55M $-5.59M $-5.59M $-5.60M $-5.58M $-5.58M
Other Financing Activities $-25.64M $-2.45M $-31.84M $49.58M $-50.39M $411.29M $-4.15M $1.54M $-3.62M $3.14M $-375.00K $861.00K $-101.06M $-98.59M $-142.00K $188.47M $-13.01M $-126.72M $25.46M $-8.13M
Net Cash Used Provided by Financing Activities $-31.29M $-8.09M $-37.46M $43.97M $-55.99M $405.70M $-9.74M $-4.04M $-9.19M $-2.42M $-5.94M $-4.68M $-106.60M $-104.12M $-5.69M $182.88M $-18.59M $-132.32M $19.88M $-13.71M
Effect of Forex Changes on Cash $424.00K $-281.00K $46.00K $113.00K $645.00K $-487.00K $-447.00K $-198.00K $-227.00K $-232.00K $-17.00K $-166.00K $-121.00K $144.00K $52.00K $262.00K $-61.00K $-159.00K $141.00K $-190.00K
Net Change in Cash $5.12M $-4.22M $-19.70M $29.83M $-7.20M $-48.89M $-48.85M $-11.70M $19.34M $23.10M $-22.36M $-15.37M $-41.32M $-83.33M $-34.72M $-176.08M $-38.45M $492.97M $-11.34M $645.00K
Cash at End of Period $35.18M $30.07M $34.28M $53.99M $24.15M $31.36M $80.24M $129.10M $140.80M $121.46M $98.36M $120.72M $136.09M $177.41M $260.74M $295.46M $471.54M $509.99M $17.02M $28.36M
Cash at Beginning of Period $30.07M $34.28M $53.99M $24.15M $31.36M $80.24M $129.10M $140.80M $121.46M $98.36M $120.72M $136.09M $177.41M $260.74M $295.46M $471.54M $509.99M $17.02M $28.36M $27.71M
Operating Cash Flow $43.04M $10.87M $24.26M $-5.45M $54.67M $-6.75M $-25.94M $-1.02M $34.58M $28.85M $-12.31M $-2.42M $68.85M $27.02M $-23.96M $-55.44M $-11.79M $2.27M $-20.91M $22.64M
Capital Expenditure $-6.14M $-7.03M $-6.89M $-5.95M $-6.06M $-7.11M $-3.64M $-6.88M $-6.17M $-3.26M $-3.42M $-4.68M $-3.55M $-4.64M $-4.03M $-5.56M $-5.04M $-6.04M $-3.95M $-7.42M
Free Cash Flow $36.90M $3.84M $17.37M $-11.40M $48.61M $-13.85M $-29.58M $-7.89M $28.41M $25.58M $-15.73M $-7.09M $65.30M $22.38M $-27.99M $-61.00M $-16.83M $-3.77M $-24.86M $15.21M

Kaman Dividends

Explore Kaman's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

3.33%

Dividend Payout Ratio

283.40%

Dividend Paid & Capex Coverage Ratio

1.50x

Kaman Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.2 $0.2 March 18, 2024 March 19, 2024 April 11, 2024 February 21, 2024
$0.2 $0.2 December 18, 2023 December 19, 2023 January 11, 2024 November 15, 2023
$0.2 $0.2 September 18, 2023 September 19, 2023 October 12, 2023 August 09, 2023
$0.2 $0.2 June 16, 2023 June 20, 2023 July 13, 2023 June 07, 2023
$0.2 $0.2 March 20, 2023 March 21, 2023 April 13, 2023 February 22, 2023
$0.2 $0.2 December 19, 2022 December 20, 2022 January 12, 2023 November 14, 2022
$0.2 $0.2 September 19, 2022 September 20, 2022 October 13, 2022 August 03, 2022
$0.2 $0.2 June 17, 2022 June 21, 2022 July 14, 2022 June 08, 2022
$0.2 $0.2 March 14, 2022 March 15, 2022 April 14, 2022 February 23, 2022
$0.2 $0.2 December 20, 2021 December 21, 2021 January 13, 2022 November 15, 2021
$0.2 $0.2 September 20, 2021 September 21, 2021 October 14, 2021 August 03, 2021
$0.2 $0.2 June 21, 2021 June 22, 2021 July 08, 2021 June 09, 2021
$0.2 $0.2 March 15, 2021 March 16, 2021 April 08, 2021 February 23, 2021
$0.2 $0.2 December 14, 2020 December 15, 2020 January 14, 2021 November 17, 2020
$0.2 $0.2 September 14, 2020 September 15, 2020 October 08, 2020 August 04, 2020
$0.2 $0.2 June 22, 2020 June 23, 2020 July 09, 2020 June 10, 2020
$0.2 $0.2 March 16, 2020 March 17, 2020 April 09, 2020 February 18, 2020
$0.2 $0.2 December 16, 2019 December 17, 2019 January 09, 2020 November 19, 2019
$0.2 $0.2 September 16, 2019 September 17, 2019 October 10, 2019 August 06, 2019
$0.2 $0.2 June 17, 2019 June 18, 2019 July 11, 2019 June 04, 2019

Kaman News

Read the latest news about Kaman, including recent articles, headlines, and updates.

Kaman Delivers New K-MAX® to Black Tusk Helicopter Inc.

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) (“Kaman” or the “Company”) announced it delivered a new medium-to-heavy lift K‑MAX® helicopter to Black Tusk Helicopter Inc. of Squamish, BC, Canada. Black Tusk performs various external lift projects of every scale, ranging from aerial timber harvesting, ski tower setting, firefighting, and hydroelectric projects. “Black Tusk is a highly respected operator, and we appreciate the confidence Black Tusk has placed in Kaman and the capabi.

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Arcline Completes Acquisition of Kaman

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corporation (“Kaman" or the “Company”) today announced the completion of its acquisition by Arcline Investment Management, L.P. ("Arcline”) in an all-cash transaction with a total enterprise value of approximately $1.8 billion. The transaction was previously announced on January 19, 2024, and was approved by Kaman shareholders on April 17, 2024. With the completion of the transaction, Kaman shareholders will receive $46.00 per share in cash. Kaman's com.

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Cohen & Steers Set to Join S&P SmallCap 600

NEW YORK , April 18, 2024 /PRNewswire/ -- Cohen & Steers Inc. (NYSE:CNS) will replace Kaman Corp. (NYSE:KAMN) in the S&P SmallCap 600 effective prior to the opening of trading on Tuesday, April 23. Arcline Investment Management LP is acquiring Kaman in a deal expected to close on April 19, pending final closing conditions.

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URGENT: The M&A Class Action Firm Encourages Shareholders of Kaman Corp. to Take Action Before the Merger Vote on April 17, 2024 - KAMN

NEW YORK , March 26, 2024 /PRNewswire/ -- Monteverde & Associates PC (the "M&A Class Action Firm"), has recovered money for shareholders and is recognized as a Top 50 Firm in the 2018-2022 ISS Securities Class Action Services Report. We are headquartered at the Empire State Building in New York City and is investigating Kaman Corp. (NYSE: KAMN), relating to its proposed sale to Arcline Investment Management, L.P.

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KAMAN INVESTOR ALERT BY THE FORMER ATTORNEY GENERAL OF LOUISIANA: Kahn Swick & Foti, LLC Investigates Adequacy of Price and Process in Proposed Sale of Kaman Corporation - KAMN

NEW ORLEANS , March 19, 2024 /PRNewswire/ --  Former Attorney General of Louisiana Charles C. Foti, Jr., Esq.

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KAMAN INVESTOR ALERT by the Former Attorney General of Louisiana: Kahn Swick & Foti, LLC Investigates Adequacy of Price and Process in Proposed Sale of Kaman Corporation - KAMN

NEW ORLEANS--(BUSINESS WIRE)--Former Attorney General of Louisiana Charles C. Foti, Jr., Esq. and the law firm of Kahn Swick & Foti, LLC (“KSF”) are investigating the proposed sale of Kaman Corporation (NYSE: KAMN) to Arcline Investment Management, L.P. Under the terms of the proposed transaction, shareholders of Kaman will receive $46.00 in cash for each share of Kaman that they own. KSF is seeking to determine whether this consideration and the process that led to it are adequate, or whet.

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Investors Rush To Buy 7 Small Stocks Before Everyone Else Does

Tired of the giant Magnificent Seven S&P 500 stocks, yet? Some investors are scrambling to pick up some small-cap stocks left between the cracks.

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3 Stocks to Buy That Are Up 200% or More in 2024

With stocks up 200%, you face a dilemma. While you don't want to fight momentum, you also don't want to buy into excessive exuberance and jump into a stock at its top, forced to hold until break-even or sell for a loss down the road.

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Kaman (KAMN) Matches Q4 Earnings Estimates

Kaman (KAMN) came out with quarterly earnings of $0.12 per share, in line with the Zacks Consensus Estimate. This compares to earnings of $0.42 per share a year ago.

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Kaman Reports Fourth Quarter and Full Year 2023 Results

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) ("Kaman" or "the Company") today reported financial results for the fourth fiscal quarter and full year ended December 31, 2023. Table 1. Summary of Financial Results (unaudited) Thousands of U.S. dollars (except share data)   Three Months Ended   Twelve Months Ended     December 31, 2023   September 29, 2023   December 31, 2022   December 31, 2023   December 31, 2022 Net sales   $ 203,123     $ 183,031     $ 197,143     $ 775,854    .

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Kaman Board of Directors Declares Dividend

BLOOMFIELD, Conn.--(BUSINESS WIRE)--(NYSE:KAMN) The Kaman Corporation board of directors declared a regular quarterly dividend of 20 cents per common share. The dividend will be paid on April 11, 2024, to shareholders of record on March 19, 2024. About Kaman Kaman Corporation, founded in 1945 by aviation pioneer Charles H. Kaman, and headquartered in Bloomfield, Connecticut, conducts business in the aerospace & defense, industrial and medical markets. Kaman produces and markets proprietary.

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Kaman (KAMN) Soars 100.9%: Is Further Upside Left in the Stock?

Kaman (KAMN) witnessed a jump in share price last session on above-average trading volume. The latest trend in earnings estimate revisions for the stock doesn't suggest further strength down the road.

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Shareholder Alert: Ademi LLP investigates whether Kaman Corp. has obtained a Fair Price in its transaction with Arcline

MILWAUKEE , Jan. 19, 2024 /PRNewswire/ -- Ademi LLP is investigating Kaman (NYSE: KAMN)  for possible breaches of fiduciary duty and other violations of law in its transaction with Arcline. Click here to learn how to join the https://www.ademilaw.com/case/kaman-corp or call Guri Ademi toll-free at 866-264-3995.

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Why Is Kaman (KAMN) Stock Up 100% Today?

Aerospace and defense technology producer Kaman (NYSE: KAMN ) is skyrocketing today on news that it will be taken private. According to recent reports, the company has agreed to a take-private all-cash $1.8 billion deal with private equity firm Arcline Investment Management.

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Why Kaman Stock Just Doubled in a Day

Private equity firm Arcline Investment Management has agreed to take Kaman private for $46 per share. This deal will be all cash and should close within the next six months.

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KAMN Stock Alert: Halper Sadeh LLC Is Investigating Whether the Sale of Kaman Corp. Is Fair to Shareholders

NEW YORK--(BUSINESS WIRE)--Halper Sadeh LLC, an investor rights law firm, is investigating whether the sale of Kaman Corp. (NYSE: KAMN) to Arcline Investment Management, L.P. for $46.00 per share in cash is fair to Kaman shareholders. Halper Sadeh encourages Kaman shareholders to click here to learn more about their legal rights and options or contact Daniel Sadeh or Zachary Halper at (212) 763-0060 or sadeh@halpersadeh.com or zhalper@halpersadeh.com. The investigation concerns whether Kaman an.

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Kaman going private at 105% premium in deal valued at $1.8B

Kaman Corp.'s stock doubled in premarket trading Friday after it agreed to be taken private by Arcline Investment Management in a deal valued at $1.8 billion.

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Kaman to be Acquired by Arcline for $1.8 Billion

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) (“Kaman" or the “Company”) today announced that it has entered into a definitive agreement to be acquired by Arcline Investment Management, L.P. ("Arcline”), a growth-oriented private equity firm with deep experience investing in technology-driven, meaningful-to-the-world industrial businesses, in an all-cash transaction with a total enterprise value of approximately $1.8 billion. Upon completion of the transaction, Kaman will become a.

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Kaman Corporation (KAMN) Q3 2023 Earnings Call Transcript

Kaman Corporation (NYSE:KAMN ) Q3 2023 Earnings Conference Call November 2, 2023 8:30 AM ET Corporate Participants Matthew Petterson - Chief Accounting Officer and Controller Ian Walsh - Chairman, President and Chief Executive Officer Carroll Lane - Senior Vice President and Interim Chief Financial Officer Conference Call Participants Tony Bancroft - GAMCO Investors, Inc., Jacob Moore - KeyBanc Capital Markets Operator Good day and thank you for standing by. Welcome to the Kaman Corporation Q3 2023 Conference Call.

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Kaman Reports Third Quarter 2023 Results

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) today reported financial results for the third fiscal quarter ended September 29, 2023. Table 1. Summary of Financial Results (unaudited)         Thousands of U.S. dollars (except share data)   Three Months Ended   For the Nine Months Ended     September 29, 2023   June 30, 2023   September 30, 2022   September 29, 2023   September 30, 2022 Net sales   $ 183,031   $ 195,158   $ 172,004   $ 572,731   $ 490,818 Net earnings (loss)     1,.

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Kaman Stock Held Back By The Weight Of Debt

Kaman operates in the aerospace and defense, medical, and industrial markets. Analysts expect a decline in earnings per share for Q3 2023, but the company has a history of beating estimates. Kaman pays a quarterly dividend of $0.20, bringing its yield to 4.28%. The dividend has not increased since 2017.

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Kaman Corporation Announces Release Date for Third Quarter 2023 Earnings

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) announced today that it will report its third quarter 2023 results after the stock market closes on Wednesday, November 1, 2023, and host a live webcast and conference call at 8:30 am ET on Thursday, November 2, 2023. A supplemental presentation relating to the third quarter 2023 results will be posted to the Company's website prior to the earnings call at http://www.kaman.com/investors/quarterly-earnings-calls. Participants must regis.

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Are Investors Undervaluing Kaman (KAMN) Right Now?

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.

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U.S. Army Awards Near Earth Autonomy and Kaman Air Vehicles Contract to Demonstrate Heavy Lift VTOL Capability

PITTSBURGH--(BUSINESS WIRE)--Near Earth Autonomy, Inc. (Near Earth) and Kaman Air Vehicles, a division of Kaman Corporation (NYSE: KAMN), announced today that they have been awarded a contract by the U.S. Army to demonstrate a resupply uncrewed aerial system (UAS) capable of moving loads with a minimum of 800 pounds and flying distances over 100 miles. This heavy-lift vertical takeoff and landing (VTOL) UAS will take Soldiers out of harm's way and supplement resupply trips through added uncrewe.

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3 Defense Stocks to Dump Before the Damage Is Done

The aerospace and defense industry is a stock market segment with decent growth over the last year. The iShares U.S. Aerospace and Defense ETF (BATS: ITA ), the benchmark ETF for tracking the aerospace and defense industry, has increased by 15% this past 12 months.

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Should Value Investors Buy Kaman (KAMN) Stock?

Here at Zacks, our focus is on the proven Zacks Rank system, which emphasizes earnings estimates and estimate revisions to find great stocks. Nevertheless, we are always paying attention to the latest value, growth, and momentum trends to underscore strong picks.

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Kaman Announces Chief Financial Officer Transition

BLOOMFIELD, Conn.--(BUSINESS WIRE)--Kaman Corp. (NYSE:KAMN) today announced that James Coogan, Senior Vice President and Chief Financial Officer, will step down from his role as CFO effective August 28, 2023. Carroll Lane, Senior Vice President, Kaman Corporation and Segment Lead of Engineered and Precision Products, will serve as Interim CFO until a permanent successor is appointed. Mr. Coogan, who is departing Kaman to pursue another opportunity outside the aerospace and defense industry, wil.

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