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TXT    Textron Inc    217346    
Income Statement
Revenue 13,702,000,000
Net Income 824,000,000
Profit Margin 6.01%

Balance Sheet
Assets 16,838,000,000
Liabilities 9,634,000,000
Equity 7,204,000,000
Shares Out 187,363,000

Cash Flow Statement
Operating Cash Flow 1,014,000,000
Investing Cash Flow -284,000,000

Market Analysis
Market Cap 16,632,168,496
Price 74.23
BVPS 38.45
PB 1.94
EPS 4.73
PE 18.77
PS 0.30
FCF 730,000,000
Dividends
Dividend Amount 0.02   
Dividend Yield 0.09%
Jan Feb Mar
Pay: 1/1 Ex: 3/14
Apr May Jun
Pay: 4/1 Ex: 6/14
Jul Aug Sep
Pay: 7/1 Ex: 9/13
Oct Nov Dec
Pay: 10/1 Ex: 12/13

Earnings
Jan Feb Mar
1/24 1.60 2/6 4.38
Apr May Jun
4/25 1.20
Jul Aug Sep
7/18 1.54
Oct Nov Dec
10/24 1.40

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