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Huntington Ingalls Industries Inc
NYSE:HII

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Huntington Ingalls Industries Inc
NYSE:HII
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Price: 394.46 USD 0.01% Market Closed
Market Cap: $15.5B

Balance Sheet

Balance Sheet Decomposition
Huntington Ingalls Industries Inc

Balance Sheet
Huntington Ingalls Industries Inc

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Balance Sheet
Currency: USD
Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
0
0
915
1 057
1 043
990
894
720
701
240
75
512
627
467
430
831
774
Cash Equivalents
0
0
915
1 057
1 043
990
894
720
701
240
75
512
627
467
430
831
774
Total Receivables
537
728
711
905
1 123
1 038
1 074
1 164
1 188
1 255
1 455
1 617
1 952
2 046
2 181
2 099
2 381
Accounts Receivables
537
728
711
905
1 123
1 038
1 074
1 164
1 188
1 255
1 307
1 446
1 743
1 876
1 998
1 895
2 097
Other Receivables
0
0
0
0
0
0
0
0
0
0
148
171
209
170
183
204
284
Inventory
298
293
380
288
311
339
285
210
183
128
136
137
161
183
186
208
219
Other Current Assets
336
292
262
234
199
50
31
48
123
122
119
178
50
50
83
90
77
Total Current Assets
1 171
1 313
2 268
2 484
2 676
2 417
2 284
2 142
2 195
1 745
1 785
2 444
2 790
2 746
2 880
3 228
3 451
PP&E Net
1 977
1 997
2 033
2 034
1 897
1 792
1 827
1 986
2 215
2 517
3 033
3 170
3 348
3 480
3 558
3 689
3 993
PP&E Gross
1 977
1 997
2 033
2 034
1 897
1 792
1 827
1 986
2 215
2 517
3 033
3 170
3 348
3 480
3 558
3 689
3 993
Accumulated Depreciation
870
1 010
1 160
1 313
1 404
1 351
1 489
1 627
1 770
1 829
1 961
2 024
2 149
2 319
2 467
2 583
2 754
Intangible Assets
610
587
567
548
528
547
495
548
508
492
492
512
1 159
1 019
891
782
694
Goodwill
1 134
1 134
881
881
881
1 026
956
1 234
1 217
1 263
1 373
1 617
2 628
2 618
2 618
2 618
2 650
Other Long-Term Assets
144
172
320
445
243
457
462
442
239
366
348
414
702
994
1 268
1 824
1 961
Other Assets
1 134
1 134
881
881
881
1 026
956
1 234
1 217
1 263
1 373
1 617
2 628
2 618
2 618
2 618
2 650
Total Assets
5 036
N/A
5 203
+3%
6 069
+17%
6 392
+5%
6 225
-3%
6 239
+0%
6 024
-3%
6 352
+5%
6 374
+0%
6 383
+0%
7 031
+10%
8 157
+16%
10 627
+30%
10 857
+2%
11 215
+3%
12 141
+8%
12 749
+5%
Liabilities
Accounts Payable
314
274
380
377
337
269
317
316
375
562
497
460
603
642
554
598
556
Accrued Liabilities
640
639
422
451
460
469
442
458
495
473
541
582
665
626
786
768
837
Short-Term Debt
537
715
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
0
29
51
79
108
0
0
0
0
0
0
0
399
231
503
0
Other Current Liabilities
463
598
541
505
516
466
515
569
521
794
852
1 184
1 159
1 228
1 461
1 122
1 652
Total Current Liabilities
1 954
2 226
1 372
1 384
1 392
1 312
1 274
1 343
1 391
1 829
1 890
2 226
2 427
2 895
3 032
2 991
3 045
Long-Term Debt
283
105
1 830
1 779
1 700
1 562
1 273
1 278
1 279
1 283
1 286
1 686
3 298
2 506
2 214
2 700
2 700
Deferred Income Tax
156
99
0
0
83
0
0
0
0
0
0
0
313
418
367
378
572
Other Liabilities
1 206
1 355
2 008
2 562
1 529
2 000
1 987
2 078
1 946
1 755
2 267
2 344
1 781
1 549
1 509
1 406
1 359
Total Liabilities
3 599
N/A
3 785
+5%
5 210
+38%
5 725
+10%
4 704
-18%
4 874
+4%
4 534
-7%
4 699
+4%
4 616
-2%
4 867
+5%
5 443
+12%
6 256
+15%
7 819
+25%
7 368
-6%
7 122
-3%
7 475
+5%
7 676
+3%
Equity
Common Stock
1 968
1 933
0
0
1
1
1
1
1
1
1
1
1
1
1
1
1
Retained Earnings
0
0
146
0
236
525
848
1 323
1 687
2 609
3 009
3 533
3 891
4 276
4 755
5 097
5 487
Additional Paid In Capital
0
0
1 867
1 894
1 925
1 959
1 978
1 964
1 942
1 954
1 961
1 972
1 998
2 022
2 045
2 045
2 087
Treasury Stock
0
0
0
1
120
258
492
684
972
1 760
1 974
2 058
2 159
2 211
2 286
2 449
2 449
Other Equity
531
515
862
1 226
521
862
845
951
900
1 288
1 409
1 547
923
599
422
28
53
Total Equity
1 437
N/A
1 418
-1%
859
-39%
667
-22%
1 521
+128%
1 365
-10%
1 490
+9%
1 653
+11%
1 758
+6%
1 516
-14%
1 588
+5%
1 901
+20%
2 808
+48%
3 489
+24%
4 093
+17%
4 666
+14%
5 073
+9%
Total Liabilities & Equity
5 036
N/A
5 203
+3%
6 069
+17%
6 392
+5%
6 225
-3%
6 239
+0%
6 024
-3%
6 352
+5%
6 374
+0%
6 383
+0%
7 031
+10%
8 157
+16%
10 627
+30%
10 857
+2%
11 215
+3%
12 141
+8%
12 749
+5%
Shares Outstanding
Common Shares Outstanding
49
49
49
50
49
48
47
46
45
42
41
41
40
40
40
39
39
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