tickrz reports
tickrz rank
B
Harris Corp (HRS)
Technology | Telecommunications
131.71  0.56%
FACTOR RANKINGSFACTOR SCREENER 
tickrz RankB / 213Warren Buffett RankB / 249
Pure Value RankC / 316Dividend RankA / 36
Moat RankB / 132Financial Strength RankC / 228
Growth RankA / 121Momentum RankA / 84
HRS vs TELECOMMUNICATIONS SECTOR & S&P 500
VALUATION
HRSSECTORS&P 500
P/E RATIO28.1330.619.28
EV/EBITDA RATIO13.7811.411.77
P/S RATIO2.6432.03
P/B RATIO5.313.63.09
QUALITY
RETURN ON EQUITY18.48%8.53%13.82%
RETURN ON CAPITAL12.19%13.14%10.04%
NET MARGIN10.78%9.2%9.76%
DIVIDEND ANALYSIS
DIVIDEND YIELD
1.67%
PAYOUT RATIO47.38%
3 YR DIVIDEND GROWTH8.06%
FINANCIAL STRENGTH
PIOTROSKI F SCORE
6 OUT OF 9
DEBT-TO-EQUITY138%
INTEREST COVERAGE6.58x
CURRENT RATIO1.08
GROWTH
5 YR EPS GROWTH86.02%
5 YR SPS GROWTH1.59%
5 YR BPS GROWTH7.2%
About tickrz
Key Concepts
Great Investors
Harris Corp's strong Dividend Rank may warrant a closer look for investors seeking dividend paying stocks
tickrz rank B / 213
Harris Corp receives a B ranking in our proprietary ranking system that combines valuation, moat, operational performance, and financial strength. View the Top 50 tickrz ranked stocks here.
value
pure value ranking C / 316Warren Buffett ranking B / 249
Valuation is the most heavily weighted component in our tickrz ranking methodology. Numerous academic and practitioner studies have found that a value approach outperforms the market over the long-run. Harris Corp's valuation score is comprised of a P/E ratio of 28.1x, a P/B ratio of 5.3x, a P/S ratio of 2.6x, and an EV/EBITDA ratio of 13.8x. Harris Corp ranks 316 out of the S&P 500 constituents on valuation--a relatively weak score.Harris Corp ranks 249 out of the S&P 500 constituents in our multi-factor Warren Buffett ranking methodology. This is a average score, meaning it ranks in the middle of the pack on valuation, moat, volatility, and financial strength factors. If you're looking for undervalued stocks with high moats and strong competitive advantages, Harris Corp is probably not for you.

quality
moat B / 132financial strength C / 228
To calculate a company's Moat Score, we look at its historical earnings growth, historical average return on equity, the volatility of its earnings stream, and also factor in the strength of its balance sheet. Our approach concludes the company's business moat is average. Our analysis of its moat reveals neither a durable moat or enduring competitive advantages.Harris Corp has a Piotroski F Score of 6 out of 9. The F Score examines changes in profitability, leverage, liquidity, and operating efficiency. Interest coverage of 6.58x, a debt/equity ratio of 138% and a Moat Rank of 132 translate to a weak Financial Strength score.


momentum A / 84
Investment research has shown that stocks with strong performance over the last 6 to 12 months tend to perform better in the medium term than stocks with poor performance over the same period. In fact, the momentum factor is one of the strongest of all the investment factors. The company has seen its stock appreciate by 32.61% over the last 12 months. This performance is strong compared to other stocks in the S&P 500, earning it a rank of 84. Harris Corp's strong 12 month stock performance will appeal to momentum investors.

yield A / 36
value + yield
Shares currently yield 1.67%. Our dividend ranking approach looks at a company's dividend growth rate, payout ratio, business moat, and valuation. Based on our methodology, Harris Corp ranks 36 among the S&P 500 constituents. Investors looking for undervalued dividend stocks will want to closely investigate Harris Corp.

growth A / 121
A company's growth metrics are less important than its valuation, moat, and financial strength. However, a check on growth can be a good way to avoid companies in secular decline. The company's growth in sales, earnings, and book value places it among the top third of S&P 500 companies. Its 86% 5 year annualized EPS growth, 1.6% 5 year annualized sales-per-share growth, and 5 year annualized book value-per-share growth of 7.2% speak to its impressive growth ranking.

Harris Corp (HRS)
Technology | Telecommunications
131.71  0.56%


tickrz rank
B
VALUATION RATIOS
P/E Ratio28.13x
P/B Ratio5.31x
P/S Ratio2.64x
EV/EBITDA Ratio13.78x
DIVIDEND ANALYSIS
DIVIDEND YIELD
1.67%
PAYOUT RATIO47.38%
3 YR DIVIDEND GROWTH8.06%
FINANCIAL STRENGTH
PIOTROSKI F SCORE
6 OUT OF 9
DEBT-TO-EQUITY138%
INTEREST COVERAGE6.58x
CURRENT RATIO1.08
MOAT
ROE18.48%
ROIC12.19%
Net Margin10.78%
GROWTH
5 YR EPS GROWTH86.02%
5 YR SPS GROWTH1.59%
5 YR BPS GROWTH7.2%

TICKRZ RANK
Harris Corp receives a B ranking in our proprietary ranking system that combines valuation, moat, operational performance, and financial strength. View the Top 50 tickrz ranked stocks here.

PURE VALUE
Valuation is the most heavily weighted component in our tickrz ranking methodology. Numerous academic and practitioner studies have found that a value approach outperforms the market over the long-run. Harris Corp's valuation score is comprised of a P/E ratio of 28.1x, a P/B ratio of 5.3x, a P/S ratio of 2.6x, and an EV/EBITDA ratio of 13.8x. Harris Corp ranks 316 out of the S&P 500 constituents on valuation--a relatively weak score.

WARREN BUFFETT RANKING
Harris Corp ranks 249 out of the S&P 500 constituents in our multi-factor Warren Buffett ranking methodology. This is a average score, meaning it ranks in the middle of the pack on valuation, moat, volatility, and financial strength factors. If you're looking for undervalued stocks with high moats and strong competitive advantages, Harris Corp is probably not for you.

MOAT
To calculate a company's Moat Score, we look at its historical earnings growth, historical average return on equity, the volatility of its earnings stream, and also factor in the strength of its balance sheet. Our approach concludes the company's business moat is average. Our analysis of its moat reveals neither a durable moat or enduring competitive advantages.

FINANCIAL STRENGTH
Harris Corp has a Piotroski F Score of 6 out of 9. The F Score examines changes in profitability, leverage, liquidity, and operating efficiency. Interest coverage of 6.58x, a debt/equity ratio of 138% and a Moat Rank of 132 translate to a weak Financial Strength score.

MOMENTUM
Investment research has shown that stocks with strong performance over the last 6 to 12 months tend to perform better in the medium term than stocks with poor performance over the same period. In fact, the momentum factor is one of the strongest of all the investment factors. The company has seen its stock appreciate by 32.61% over the last 12 months. This performance is strong compared to other stocks in the S&P 500, earning it a rank of 84. Harris Corp's strong 12 month stock performance will appeal to momentum investors.

VALUE + YIELD
Shares currently yield 1.67%. Our dividend ranking approach looks at a company's dividend growth rate, payout ratio, business moat, and valuation. Based on our methodology, Harris Corp ranks 36 among the S&P 500 constituents. Investors looking for undervalued dividend stocks will want to closely investigate Harris Corp.

GROWTH
A company's growth metrics are less important than its valuation, moat, and financial strength. However, a check on growth can be a good way to avoid companies in secular decline. The company's growth in sales, earnings, and book value places it among the top third of S&P 500 companies. Its 86% 5 year annualized EPS growth, 1.6% 5 year annualized sales-per-share growth, and 5 year annualized book value-per-share growth of 7.2% speak to its impressive growth ranking.