Summary
is in article of Raytheon Technologies (RTX) Stock Get comprehensive information – current price, historical performance, analyst forecasts, dividend track record, financial metrics, risk factors, ESG considerations, global footprint, and how this stock could fit into your portfolio. We’ll speak in a conversational English accent, so you feel like you’re getting guidance from a friend, not a dry financial report. Seven will have titles, keywords, tables and bullet points optimized for SEO.
Introduction
If you are a USA investor looking to diversify into the aerospace-defense sector, rtx stock Could be a promising candidate. Prices change rapidly in today’s dynamic market, but decision making must be based on research and insight – not just guesswork. In this Hinglish guide we will cover RTX’s current price snapshot, analysts’ forecasts, dividend strategy, quarterly results, risk factors and ESG highlights. The content totals 3,000 words, including tables and picture suggestions. So relax with a cup of tea or coffee, and let’s dive into the world of RTX stock.
Table of Contents

1. RTX Corporation Overview
1.1 History and formation
- Original: Raytheon company founded 1922, specializing in defense electronics.
- Merger: To be formed by merging with the aerospace business of United Technologies Corporation (UTC) in 2020. Raytheon Technologies Corporation (RTX).
- headquarters: Waltham, Massachusetts, USA.
1.2 Commercial clause
Vol | Description |
Collins Aerospace | Aircraft Systems, Avionics, Internal Products |
Pratt & Whitney | commercial and military jet engines |
Raytheon Missiles and Defense | Missiles, Air Defense Systems, Radar |
intelligence and space | Cyber Solutions, Space Sensors, Satellite Communications |
1.3 Leadership
- ceo: Christopher Callio (since 2023)
- CFO: Neil Mitchell
- plank: Diverse background in aerospace, finance, technology
RTX has a diverse portfolio that covers aerospace aftermarket, commercial OEM, defense contracting, and space businesses. This diversification provides revenue stability.
2. RTX Stock Price: Live and Historical
2.1 Current Value Snapshot
- Closing Price (April 21, 2025): $120.99 per share
- before the market: Pay attention to live update platforms for volatility (Yahoo Finance, CNBC).
- 52-week range: $110.00 – $140.00
- market capitalization: ~$168 billion
Note: Prices fluctuate daily. Check the brokerage app or finance website to see the updated price.
2.2 Historical performance
Duration | then the price | price now | % change |
1 month ago | $115 | $120.99 | +5.2% |
3 months ago | $118 | $120.99 | +2.54% |
1 year ago | $130 | $120.99 | -6.93% |
Since IPO | $76 (2020) | $120.99 | +59% |

Historical trends indicate cyclical behavior related to defense contract deadlines and demand for commercial aircraft.
3. Financial metrics and ratios
metric | price | Criticism |
Forward P/E Ratio | ~20.6x | Industry average ~18-22x |
Trailing P/E Ratio | ~21.5x | slightly above forward estimates |
PEG Ratio (5-Year) | ~1.3 | Given the development potential, it was given moderate importance |
Price-to-Book (P/B) | ~2.8x | Medium Premium on Book Value |
Return on Equity (ROE) | ~14% | Healthy returns indicate efficient capital utilization |
debt to equity | ~0.75 | conservative leverage |
current ratio | ~1.1 | adequate liquidity |
Financial health is solid, offering a mix of growth and stability.
4. Analyst Forecasts and Price Targets
4.1 Consensus Price Target
- trading view: $141.90 average, range $120-$160
- tiprank: $144.75 average, upside ~12%
- wallstreetzen: $146.00 expected by April 2026
- coincodex:$125.24-$147.70 range for end-2025
- stockscan:$130.44 average for 2025
4.2 Forecast Summary Table
platform | price target | Reverse (%) | Time |
trading view | $141.90 | +17.2% | next 12 months |
tiprank | $144.75 | +19.6% | 12 months |
wallstreetzen | $146.00 | +20.7% | April 2026 |
coincodex | $135.00 average | +11.5% | end-2025 |
stockscan | $130.44 | +7.8% | 2025 |
Most analysts are optimistic, but risk management is necessary to avoid downside.

5. Dividend History and Yield Analysis
5.1 Dividend metrics
metric | price |
Quarterly Dividends | $0.63 |
annual dividend | $2.52 |
forward yield | ~1.96% |
payout ratio | ~67% |
Dividend Growth (5 Years) | 5 consecutive years |
ex-dividend date | February 21, 2025 |
5.2 Dividend Timeline
- February 20, 2025: Dividend declared $0.63
- March 20, 2025:payment of dividends to shareholders
- May 2025 (estimated):Further announcement expected
Dividend yield ~2% provides stable income, but invest with a focus on aerospace cycles.
6. Quarterly Results and Revenue Segment
6.1 Q1 2025 Highlights
- Income : $20.3B (up 5% year over year)
- organic growth: 8%
- GAAP EPS: $1.14
- adjusted EPS: $1.47 (beats estimate by $1.35)
- operating cash flow: $1.3B
- free cash flow: $0.8B
- order backlog: $217B ($125B commercial, $92B defense)
6.2 Revenue as per section
Vol | Q1 Revenue ($Billion) | change from year to year |
Collins Aerospace | 9.1 | +6% |
Pratt & Whitney | 4.5 | +7% |
Raytheon Missiles and Defense | 5.6 | +4% |
intelligence and space | 1.1 | +3% |
*Commercial aerospace aftermarket demand is strong, with defense contracts providing a steady growth channel.
6.3 Management Note
“Strong start to 2025 driven by solid aftermarket demand and continued margin improvement,” -Chris Calio, CEO

7. Risk Factors and Considerations
- Geopolitical tensions: Tariffs, export controls, global conflicts can disrupt aerospace supply chains.
- defense budget cuts: If America and allies cut spending, the defense sector may be affected.
- commercial cyclicality: Aircraft deliveries are cyclical in nature; Economic recession let me order work hote.
- currency fluctuations: International revenues face FX risk.
- supply chain disruptions:Operations are being delayed due to shortage of semiconductors and raw materials.
- regulatory risk: Export controls, ITAR compliance, environmental regulations impact.
8. ESG (Environmental, Social, Governance) Profile
8.1 Environmental Initiatives
- carbon reduction: Target of 50% greenhouse gas emissions reduction by 2030.
- sustainable products: Development of environment-friendly engine technologies.
- waste management:Zero Waste to Landfill Initiative at Major Facilities.
8.2 Social Responsibility
- diversity and inclusion:Aim to have 30% women in leadership roles by 2025.
- Community participation: STEM education programs globally.
- employee safety:Strong safety protocols, low injury rates.
8.3 Governance systems
- board independence: 80% independent directors.
- Ethics & Compliance:Strong anti-corruption policies.
- executive compensation: Aligned with ESG and financial metrics.
Strong ESG profile builds long-term risk mitigation and stakeholder trust.
9. Global Footprint and Order Backlog
- Operation: North America, Europe, Asia-Pacific, Latin America.
- Key Features: UK (engine testing), Singapore (R&D), India (manufacturing JV).
- Arrears: $217B global order book provides revenue visibility over the next 5-7 years.
The backlog improves revenue forecasts, which is a plus point for investors.

10. Comparative analysis with competitors
company | Market Cap(B$) | P/E (Forward) | dividend yield | major forces |
rtx | 168 | 20.6x | 1.96% | Diverse segments, strong backlog |
Boeing (BA) | 150 | N/A (loss) | N/A | commercial jet, defense |
Lockheed Martin (LMT) | 115 | 18.5x | 2.6% | Defense Leader, F-35 Program |
Northrop Grumman (NOC) | 70 | 19.8x | 1.5% | Space, Cyber, Defense Electronics |
General Mobility (GD) | 55 | 16.2x | 1.8% | combat vehicles, shipbuilding |
RTX’s diversified portfolio offers multiple revenue streams, reducing cyclical risk compared to single-focus peers.
11. Investor Strategies and Timing
- dollar-cost averaging: Buying at regular intervals to reduce volatility.
- clear entry point: Consider buying in the valley at support levels around $115-$118.
- increase in earnings:Adjust position before earnings announcement.
- dividend reinvestment: Maximize compound growth by investing dividends in DRIPs.
- option strategy: Covered calls generate additional income in flat markets.
The investment plan will be tailored as per your risk appetite and time horizon.
12. Tax implications for US investors
- dividend tax rate: Qualified dividend at long term capital gains rate (0%, 15%, 20%).
- section 1256 contract:Option Strategies Mark-to-Market Treatment.
- wash sale rules: 30-day buyback rule for tax-loss harvesting.
- Filing Requirements: Form 1099-DIV Dividends, Form 8949 Sales.
Consult your tax advisor to make a tax-efficient investment plan.
13. Frequently Asked Questions (FAQ)
Is RTX stock safe for the long term?
Balanced aerospace-defense portfolio, strong backlog, stable cash flows indicate long-term potential; But keep an eye on cyclical risks and geopolitical factors.
What is RTX’s dividend yield and will it grow?
Current yield ~1.96%, historical annual growth 5%+, dependent on future funding priorities and cash flows.
RTX vs Boeing—Which one is better?
RTX covers diverse aerospace and defense segments; Boeing commercial jet and defense mix; The risk profiles are different.
What does the analyst consensus say?
Most have moderate buy to strong buy recommendations, price target $140-$146 range.
What could be the impact of the trade war?
Tariffs and export controls reduce short-term profit margins; Long-term partnerships built over decades help reduce that.
Why do ESG factors matter in investment decisions?
Regulatory compliance, stakeholder trust, cost savings, environmental initiatives, risk mitigation helps me.
How to generate income from options strategies?
Covered calls or cash-secured calls offer additional yield from the premium, but have assignment risk.

14. Conclusion and call-to-action
Have a detailed guide through you rtx stock The society got information from every corner – price history, financial ratios, analyst forecasts, dividend strategy, risk factors, ESG profile and competitive comparisons. This Hinglish conversational style suited the content, which would resonate with retail investors in the United States. The time to act is now:
- research tool: Add RTX ticker to your brokerage or finance apps.
- portfolio review:Adjust position size and asset allocation.
- stay updated: Keep an eye on the next earnings and defense contract news.
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