Boeing BA
equity
Price History
Time underwater
How far below its previous all-time high the price sat, each month. 0% means a new high.
Worst drawdown: −72%, peaking Feb 2019 and bottoming Sep 2022 — still unrecovered after 90 months.
DCA Backtest
- Invested
- $50,000
- Value today
- $303,297
- Return
- +506.6%
- Months invested
- 500
Scenarios
Inflation — the same contributions merely keeping pace with CPI would be $90,910 today, so the real (inflation-adjusted) return is +233.6%.
Lump sum instead — $50,000 all at once in Jan 1985: $1,250,982 (+2402.0%) — lump sum came out ahead.
Worst timing — same monthly amount started at the all-time high (Feb 2019): $10,374 on $9,100 invested (+14.0%).
⚠ Price returns only — dividends are not included. This understates the true return of dividend-paying shares, and any comparison against crypto (which pays no dividends) is biased against equities by roughly the dividend yield, compounded.
If this saved you a spreadsheet — buy me a coffee.
Every start month at once
Each cell is the return-to-date of £/$/€100-a-month DCA started that month. Click a cell to load it in the backtest above. The ringed cell is the all-time-high start — the worst timing scenario.
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About Boeing
The Boeing Company is an American multinational corporation that designs and manufactures airplanes, rotorcraft, rockets, satellites, and missiles worldwide. The company also provides leasing and product support services. Boeing is among the largest global aerospace manufacturers; it is the fourth-largest defense contractor in the world based on 2022 revenue and is the largest exporter in the United States by dollar value. Boeing was founded in 1916 by William E. Boeing in Seattle, Washington. (Wikipedia)
It's a listed company categorised under industrials and aerospace & defense, with a market cap of about $182.7B.
It rates Extreme Risk at 3.3/5, meaning the rated factors are poor across the board — treat any position here as speculative.
What pushes the score up: earnings quality (5.0/5) and leverage / financial (4.5/5).
Scoring well: liquidity at 1.0/5.
Not yet researched: concentration, governance. These are excluded from the score rather than guessed, so the real risk may be higher than what’s shown.
Ratings summarise sourced facts against fixed rules — not investment advice, and no substitute for your own diligence.
Risk Profile
- Annualised volatility (3yr)3/533.1
- Max drawdown from ATH4/572.5
- Beta vs S&P 5003/51.1
- Avg daily $ volume1/51.4bn
- Float % of shares outstandingnot yet researched
- Debt / equity5/58.2
- Interest coverage (EBIT / interest)4/51.5
- 3yr EPS volatility5/5100
- Largest customer, % of revenuenot yet researched
- Geographic revenue concentrationnot yet researched
- Board independence %not yet researched
- Share structurenot yet researched
- Litigation / audit historynot yet researched
- Sector regulatory exposure2/5moderate
Linked Assets
Same sector, or return-correlated — worth knowing what else might move if this one does.
- Howmet Aerospace HWM+58% (moderate)same category: industrials, aerospace & defense
- RTX Corporation RTX+57% (moderate)same category: industrials, aerospace & defense
- TransDigm Group TDG+50% (moderate)same category: industrials, aerospace & defense
- Textron TXT+50% (moderate)same category: industrials, aerospace & defense
- GE Aerospace GE+46% (moderate)same category: industrials, aerospace & defense
- General Dynamics GD+42% (moderate)same category: industrials, aerospace & defense
- Lockheed Martin LMT+37% (weak)same category: industrials, aerospace & defense
- Northrop Grumman NOC+34% (weak)same category: industrials, aerospace & defense