lockheed martin corp stock Overview & Market Snapshot
Lockheed Martin Corporation (LMT) — Stock
Quick lead: The term "lockheed martin corp stock" refers to the common shares of Lockheed Martin Corporation (ticker: LMT) listed on the New York Stock Exchange. This guide provides a practical, investor-friendly overview: what the equity represents, where to find market data, key financial and valuation metrics, material catalysts, principal risks, and the common instruments and platforms used to access the company’s exposure (including how to use Bitget to trade and custody positions).
Company overview
Lockheed Martin is a U.S.-based aerospace and defense company with primary business segments that include Aeronautics, Missiles & Fire Control, Rotary & Mission Systems, and Space. The company designs, develops, manufactures and supports advanced military aircraft, missile systems, satellites, and related technologies. Operational performance across these segments drives revenue recognition and therefore influences lockheed martin corp stock performance over time.
Core revenue drivers include long-term government contracts, systems integration programs, sustainment and logistics support, and space systems deliveries. Program-level milestones (production rates, contract awards, and deliveries) and multi-year procurement budgets are frequently material to the company’s reported revenue and to investor reaction in the share price.
Stock identifiers and listing information
- Ticker: LMT
- Exchange: New York Stock Exchange (NYSE)
- ISIN: US5398301094
- Primary trading currency: USD
- Listing context: lockheed martin corp stock is a large-cap U.S. security commonly included in defense and industrial indices.
Market data and trading information
Real-time quote and trading hours
Real-time quotes for lockheed martin corp stock are available from major financial data providers and brokerage platforms. The primary trading session for NYSE-listed LMT is 09:30–16:00 Eastern Time. Pre-market and post-market (extended) trading sessions also provide price discovery outside regular hours; many platforms display pre/post-market quotes separately from regular-session trades.
As of 2026-01-28, according to Benzinga, LMT was quoted at $591.26. Real-time streaming quotes, level II data and extended-hours prints are accessible through retail broker interfaces and market data terminals; Bitget’s trading interface provides market quotes and order placement capabilities for equities where supported by local regulatory frameworks.
Key market statistics
- Market capitalization: As of 2026-01-28, lockheed martin corp stock had a market capitalization of approximately $136.82 billion (Benzinga).
- Recent quoted price (example snapshot): $591.26 per share (Benzinga as of 2026-01-28).
- 52‑week range (illustrative): roughly $410.11 — $596.23 (representative figures from public market pages).
- Average daily volume and float: reported on public market data pages and company investor relations; volume patterns can vary with news flow and index rebalancing events.
Note: specific intraday ranges, average volume, and share counts change over time—consult the latest quote page or Lockheed Martin investor relations for the current float and outstanding shares.
Price history and performance
Lockheed Martin has been a steady large-cap performer in the aerospace & defense sector. Over the long term, the company’s compound returns have outpaced many parts of the market: As of 2026-01-28, Benzinga reported that LMT outperformed the market over the past 15 years by an annualized 2.46%, producing an average annual return of 14.3%. That same Benzinga snapshot noted that a hypothetical $100 investment in LMT made 15 years prior would be worth $755.52 at a reference price of $591.26.
Historical performance is influenced by multi-year contract cycles, defense procurement budgets, program milestones, dividend policy, and buyback activity. Short-term volatility typically correlates with earnings releases, large contract awards or program setbacks, and broader equity market moves.
Financials and valuation metrics
Income, revenue and profitability
Lockheed Martin’s top-line revenue and operating profit are driven by long-term government contracts and multi-year programs. Quarterly and annual reports from the company detail revenue by segment and provide management commentary on backlog, program performance, and expected near-term revenue recognition. Material program changes—such as production rate increases or cost-to-complete variances—can affect reported margins and therefore market reaction in lockheed martin corp stock.
Investors generally review the company’s revenue growth, operating margin trends, free cash flow generation and backlog conversion when assessing corporate fundamentals.
Common valuation metrics
For a snapshot valuation, practitioners look at several standard ratios. As an example reference point, trailing metrics reported on public financial pages have included a trailing twelve-month (TTM) P/E in the high teens (for instance, around 17.9 TTM in representative data snapshots). Earnings per share (EPS) figures, price-to-sales, and enterprise-value-to-EBITDA multiples are also commonly used to compare lockheed martin corp stock to peers.
Valuation should be interpreted alongside defense-sector dynamics: earnings stability for prime contractors is often higher than cyclical industrials because of long-term contracts, but program-specific cost risk can create episodic earnings pressure.
Dividend policy
Lockheed Martin maintains a dividend policy and has historically returned capital to shareholders through dividends and share repurchases. Dividend declarations, ex-dividend dates and payout amounts are announced by the company and published through official investor relations channels and major market data platforms. For the exact current dividend yield and most recent distribution amounts for lockheed martin corp stock, consult the company’s investor relations or up-to-date quote pages.
Corporate actions and capital structure
Lockheed Martin periodically engages in share repurchase programs that reduce outstanding shares and can support earnings-per-share growth. Historically, sizeable buybacks combined with steady dividends have been part of the company’s capital allocation framework.
The company’s balance sheet includes long-term debt typical of large industrial companies; investors examine leverage ratios (net debt to EBITDA and interest coverage) to assess capital structure strength. Past stock splits are not a central driver of recent shareholder returns for lockheed martin corp stock; instead, buybacks and payouts represent the principal mechanisms of returning capital.
Ownership and major shareholders
Institutional investors (mutual funds, pension funds, and asset managers) typically hold a significant proportion of lockheed martin corp stock. Filings with regulatory agencies and public ownership summaries show major institutional holders and insider ownership levels. Retail ownership is present but usually represents a smaller share than institutional holdings. Changes in institutional positioning—reported in quarterly filings—can affect liquidity and medium-term ownership trends.
Analyst coverage and market sentiment
Major equity research analysts cover lockheed martin corp stock, publishing ratings (Buy/Hold/Sell) and price targets. Consensus ratings and revisions are tracked by market data providers; upward or downward revisions to guidance and analyst price targets can drive short-term stock moves.
Sentiment also derives from contract award news, program milestones, and macroeconomic factors that influence defense budgets.
News, contracts and catalysts
Defense contracts and government spending
Large contract awards and multi-year procurement decisions are core revenue catalysts for lockheed martin corp stock. Awards for aircraft production, missile systems, space payloads, sustainment contracts, and foreign military sales can materially affect revenue outlooks when they change expected production rates or backlog. Contract award announcements are regularly published by the company and covered by financial news providers.
Macroeconomic & policy drivers
Budget appropriations, procurement timing and government program priorities are macro drivers for defense primes. Changes in procurement schedules, budget allocations, or regulatory frameworks can influence long-term revenue visibility. Investors follow budget processes and program-specific funding to model future contract opportunities.
Company-specific developments
Events such as major program deliveries, new technology demonstrations, management changes, M&A activity, and regulatory or compliance developments are viewed as company-specific catalysts for lockheed martin corp stock. Program technical milestones, testing successes or delays, and export approvals are examples of material company developments.
Notable reporting snapshot: As of 2026-01-28, Benzinga’s automated content engine reported LMT’s 15-year annualized return figures and market capitalization cited earlier; such long-term performance data highlight the effect of compounded returns for long-term shareholders.
Risks and regulatory considerations
Key risk categories investors monitor for lockheed martin corp stock include:
- Operational risks: program delays, cost overruns, production disruptions and supplier issues can depress margins and delay revenue recognition.
- Contract dependency: heavy reliance on government spending and a small group of large customers concentrates revenue risk.
- Export controls and regulatory compliance: international sales may require export approvals; restrictions or sanctions can impact addressable markets.
- Procurement and legal risks: protests, contract litigation or change orders can affect cash flow timing.
- Reputational and program-technical risks: failures in high-profile programs can affect future award prospects.
Public filings and the company’s risk disclosures provide detailed commentary on these topics.
Trading instruments and ways to invest
Investors and traders access exposure to Lockheed Martin via several instruments:
- Direct common shares (LMT) purchased on regulated equity markets.
- Options (where supported) for hedging or expressing directional views on lockheed martin corp stock.
- Inclusion in sector ETFs and index funds that track aerospace & defense exposures.
Retail investors commonly use brokerages to buy LMT shares. For readers who prefer Bitget’s ecosystem, Bitget supports equity trading and custody services in jurisdictions where regulated access is permitted; Bitget Wallet is the recommended secure wallet for Web3-related custody needs. Always verify product availability and local regulatory status before trading.
Historical performance and notable events
A timeline-style perspective helps contextualize price moves in lockheed martin corp stock. Over multi-year horizons, the company’s share price has been affected by: large contract wins, multi-year production ramp-ups, dividend increases, buyback authorizations, and broader defense budget changes. The Benzinga 15-year performance snapshot—14.3% average annual return and the hypothetical growth of $100 to $755.52—illustrates the compounding effect of long-term total returns including price appreciation and distributions.
Data sources and verification
This article references publicly available market pages, company investor relations disclosures and automated content summaries. Representative sources used for market snapshots and historical context include the Lockheed Martin investor relations pages and major market-data providers and news outlets such as Benzinga, Yahoo Finance, CNBC, MarketWatch, TradingView, Investing.com and Robinhood. For time-sensitive metrics (share price, market cap, P/E, dividend yield), consult the company’s official investor relations or a real-time quote provider.
As of 2026-01-28, according to Benzinga, LMT was quoted at $591.26 and the company had an approximate market capitalization of $136.82 billion. Benzinga’s analysis further noted a 15‑year annualized return of 14.3% and that $100 invested 15 years prior would be worth about $755.52 at that quoted price.
How to monitor lockheed martin corp stock effectively
Practical steps for watchers of lockheed martin corp stock:
- Track official company releases and SEC filings for confirmed revenue, backlog and contract details.
- Watch quarterly earnings calls for management guidance and program updates.
- Monitor major contract award bulletins and program milestone announcements.
- Use reliable market-data pages for live quotes, historical charts and peer comparisons.
- For custody and execution, consider regulated trading platforms; Bitget provides a user-friendly interface and custody options where supported by regulation.
Neutral guidance and final notes
This article presents factual descriptions of lockheed martin corp stock, how it trades, and major factors that influence performance. It is not investment advice or a solicitation to trade. Readers seeking to act on the information should consult primary filings, their financial advisors and broker platforms for personalized guidance.
Further exploration
If you want live quotes, up-to-date dividend details or the latest analyst summaries for lockheed martin corp stock, visit official investor relations pages or use a regulated brokerage. To explore trading and custody options within a single platform, consider learning more about Bitget’s trading interface and Bitget Wallet for secure custody of Web3 assets and related holdings.
Start tracking LMT on Bitget today — check availability in your jurisdiction and review account and market data features before placing orders.





















