Booz Allen Hamilton Holding Corporation (BAH) Stock Analysis
Market Closed
Sector: Other · Industry: Services-Management Consulting Services
What's happening with BAH
Price History
5-Year Weekly Candlestick Chart
Profile
Strong valuation and earnings quality.
How is each axis scored?
- Valuation95/100 · Strong
- P/E vs own history (7th pct)25/25
- FCF yield (10.0%)25/25
- P/S (0.8x)25/25
- EV/EBIT (12.0x)20/25
- Growth64/100 · Moderate
- Revenue CAGR (7.6%)12/25
- Net income CAGR (16.2%)20/25
- EPS CAGR 5Y (19.0%)20/25
- Fwd implied growth (8.7%)12/25
- Profitability70/100 · Moderate
- ROIC (19.2%)20/25
- ROE (75.9%)25/25
- Net margin (7.4%)13/25
- Operating margin (9.2%)12/25
- Financial Health66/100 · Moderate
- Altman Z (3.94)25/25
- Current ratio (1.78)18/25
- Interest coverage (5.7x)18/25
- Net cash / debt (D/A 45%)5/25
- Quality85/100 · Strong
- Piotroski F (4/9)10/25
- Beneish M (-2.66)25/25
- FCF conversion (111%)25/25
- Margin stability (σ 1.2%)25/25
About Booz Allen Hamilton Holding Corporation
Booz Allen Hamilton Holding Corp provides technology solutions in areas such as artificial intelligence, cybersecurity, and related fields. Show more
The company serves U.S. federal government agencies, commercial clients, and select international customers. It also provides technologies to evolve defense missions and delivers solutions to warfighters in the digital battlespace. The domains includes Consulting Services- Delivering strategic, operational, and management consulting to transform organizations; Advanced Tech- artificial intelligence, cloud integration, and data platforms. Cybersecurity that protects critical national infrastructure, military networks, and sensitive government systems and Engineering Solutions providing mission-critical technical design and hardware integration.
Headquarters: MCLEAN, VA · Employees: 30,900 · Website ↗
Analyst Consensus
SellWall Street consensus estimates — not a PMP forecast · Updated Sep 21, 2026
Insider Transactions
Recent SEC Form 4 filings
- BuyGrant / award · filed 2026-08-06+4.7K sh2026-08-04
- BuyGrant / award · filed 2026-08-06+3.1K sh2026-08-04
- BuyGrant / award · filed 2026-08-06+3.1K sh2026-08-04
- BuyGrant / award · filed 2026-08-06+3.8K sh2026-08-04
- BuyGrant / award · filed 2026-08-06+5.0K sh2026-08-04
+3 more recent filings
Key Metrics
Financial snapshot — pillar inputs plus per-share and market context
Valuation
95A+P/E (TTM)11.4xA
Grade A: CheapPrice / TTM EPS (own statements) — vs own 5Y history: 8.8x–58.9x · 7th pct
P/FCF8.3xA
Grade A: CheapPrice / Free Cash Flow per share (Finnhub). Inverse of FCF yield — negative when FCF is negative
FCF Yield10.0%A
Grade A: ValueTTM FCF / Market Cap — vs own 5Y history: 1.1%–12.7% · 95th pct
P/S (TTM)0.82xA
Grade A: CheapPrice / TTM Revenue (own statements) — vs own 5Y history: 0.6x–2.1x · 5th pct
EV/EBIT12.0xA
Grade A: CheapEnterprise value / TTM EBIT (D&A not in our data) — capital-structure neutral — vs own 5Y history: 10.1x–40.1x · 8th pct
EV/Sales1.1xA
Grade A: CheapEnterprise Value / TTM Revenue (Finnhub) — capital-structure neutral sales multiple
Forward P/E10.5xA
Grade A: CheapPrice / next-year EPS estimate — shows whether the TTM multiple is rich or just front-loading growth
P/B Ratio8.43xD
Grade D: V.Exp.Price to Book Value. Neg. equity = heavy buybacks
PEG Ratio3.83D
Grade D: Exp.Finnhub PEG — their P/E basis ÷ expected EPS growth. Suppressed when their P/E diverges >2× from our TTM P/E (different basis)
Dividend Yield3.01%A
Grade A: PaysTTM dividend yield (Finnhub) — annual dividends / price. None = no dividend; very high yield can signal distress
Payout Ratio32.4%A
Grade A: SafeDividends / Net Income (Finnhub) — share of earnings paid out; >90% or negative = unsustainable
Profitability
70B+ROIC19.2%A
Grade A: MoatNOPAT (EBIT less ~21% tax) / invested capital (equity + debt − cash). Flagship quality metric — durable >15% signals a moat
ROE75.9%A
Grade A: StrongReturn on Equity. Neg. equity = heavy buybacks
ROA10.8%A
Grade A: StrongReturn on Assets (Finnhub) — Net Income / Total Assets; how efficiently assets produce profit
Net Margin7.4%C
Grade C: AvgNet Income / Revenue
Operating Margin9.2%D
Grade D: LowTTM EBIT / TTM Revenue
Gross Margin52.7%A
Grade A: PremiumGross Profit / Revenue
FCF Margin8.2%C
Grade C: AvgFCF / Revenue
True FCF Margin7.5%C
Grade C: AvgTTM (OCF − CapEx − SBC) / TTM Revenue — SBC treated as a real cost
Financial Health
66BAltman Z-Score3.94A
Grade A: SafeBankruptcy risk. >3 Safe, <1.8 Distress
Current Ratio1.78xC
Grade C: OkCurrent Assets/Liabilities
Quick Ratio1.68xA
Grade A: High(Current Assets − Inventory) / Current Liabilities (Finnhub) — stricter liquidity test, excludes inventory
Interest Coverage5.7xC
Grade C: OkEBIT/Interest. >10 Strong
Debt Repayment3.4yC
Grade C: AvgYears to repay net debt via FCF
Net Debt/EBIT3.1xC
Grade C: MedLeverage. <2x Low, >4x High
Debt/Equity3.55xD
Grade D: HighDebt / Equity: <1 Conservative, >2 Risky. Not meaningful with non-positive equity; shown as unavailable rather than low debt.
Cash / Debt0.19xD
Grade D: ThinCash covers how much of total debt. >1 = could repay all debt from cash
Growth
64BRevenue CAGR7.6%C
Grade C: OkCompound annual revenue growth (up to 5Y depending on data availability)
Net Income CAGR16.2%A
Grade A: HighCompound annual net income growth (up to 5Y depending on data availability)
EPS CAGR (5Y)19.0%A
Grade A: HighCompound annual EPS growth over up to 5Y of per-share earnings (own statements). Null when either endpoint EPS ≤ 0
Forward Growth8.7%B
Grade B: LowImplied 1Y EPS growth from forward P/E vs our TTM EPS. Sparse — only where forward estimates exist
Dilution (5Y)-11.5%A
Grade A: BuybacksShare count change over 5Y
SBC / Net Income9.0%A
Grade A: LowStock-based comp/Net income. >30% = dilution risk
SBC / Revenue0.7%A
Grade A: LowTTM stock-based comp / TTM Revenue
Quality
85APiotroski F-Score4/9C
Grade C: AvgFinancial strength 0–9. >7 Strong
Beneish M-Score-2.66A
Grade A: SafeEarnings manipulation risk. < -2.22 Safe
FCF Conversion111.3%A
Grade A: StrongFCF / Net Income
Margin Stability1.2%A
Grade A: StableEBIT margin std deviation. Lower = stable
Capex / Revenue0.8%A
Grade A: Asset-lightTTM CapEx / TTM Revenue — high % = capital-hungry business
Asset Turnover1.58xA
Grade A: HighRevenue / Total Assets (Finnhub) — how efficiently the asset base generates sales
Per Share
EPS (TTM)$6.80
Own TTM net income / shares — same earnings basis as P/E
Cash / Share$6.05
Cash & short-term investments per share (Finnhub)
Book Value / Share$9.18
Shareholders' equity per share (Finnhub). Negative = accumulated losses / heavy buybacks
Balance Sheet
Total Debt$3.92B
Total debt obligations (short + long term)
Cash & Equiv.$728.00M
Cash and short-term investments
Net Debt$3.19B
Total Debt minus Cash. Negative = Net Cash position
Total Equity$1.10B
Shareholders' equity (book value)
Asset / Liability1.18xC
Grade C: AdequateTotal Assets / Total Liabilities
Market
Market Cap$9.31B
Current Market Capitalization
Beta0.32B
Grade B: DefensivePrice sensitivity vs the market (Finnhub) — 1.0 moves with market, >1.2 amplifies swings
Takeaway
Robustný 10 % výnos z FCF, vynikajúce ocenenie (V: 95) a vysoká finančná stabilita (Altman Z: 3,94) robia z BAH mimoriadne atraktívny a bezpečný hodnotový titul.
Takes ~3.4 years to repay net debt from free cash flow. · Current P/E of 11.4x sits at the 7th percentile of its historical range.
How grades work: each metric is graded A–D against fixed thresholds (tap a row for the meaning). Card grades map the pillar score to A+–E — a card grade is that pillar's own score, not an average of the rows shown.
Financials as of Mar 2026 · Ratio snapshot Sep 22, 2026
Key Insights: Booz Allen Hamilton Holding Corporation (BAH)
Composite verdict for Booz Allen Hamilton Holding Corporation: Robustný 10 % výnos z FCF, vynikajúce ocenenie (V: 95) a vysoká finančná stabilita (Altman Z: 3,94) robia z BAH mimoriadne atraktívny a bezpečný hodnotový titul.. Piotroski F-Score of 4/9 indicates mixed fundamentals for Booz Allen Hamilton Holding Corporation. Altman Z-Score of 3.94 sits comfortably in the safe zone (≥ 2.99), indicating low bankruptcy risk. Beneish M-Score of -2.66 suggests a low likelihood of earnings manipulation.
- Takes ~3.4 years to repay net debt from free cash flow.
- At a valuation score of 95/100, BAH trades near the cheapest end of its own historical range (P/E 11.4).
- Return on equity of 75.9% is well above the market average.
- The stock currently yields 3.0% in dividends.
See how BAH ranks on the Capex Tracker — top 50 capital spenders compared.
No significant market moves for BAH in the last 30 days.
See BAH move history →Frequently Asked Questions about BAH
Is BAH stock a buy right now?
PreMarketPrice's quantitative model rates Booz Allen Hamilton Holding Corporation's financial health at 66/100 — Robustný 10 % výnos z FCF, vynikajúce ocenenie (V: 95) a vysoká finančná stabilita (Altman Z: 3,94) robia z BAH mimoriadne atraktívny a bezpečný hodnotový titul.. This is a data-driven snapshot of fundamentals, not investment advice.
Is BAH stock overvalued?
Booz Allen Hamilton Holding Corporation trades at a trailing P/E of 11.4 and our valuation score rates it 95/100 (higher = cheaper vs. its own history). See the Valuation History and Key Metrics sections for forward P/E, EV/EBITDA and PEG context.
When does Booz Allen Hamilton Holding Corporation report earnings?
No confirmed earnings date is currently scheduled for BAH. The Earnings section lists recent reports and updates as dates are announced.
What sector does Booz Allen Hamilton Holding Corporation operate in?
Booz Allen Hamilton Holding Corporation operates in the Other sector, within the Services-Management Consulting Services industry. The Related Stocks section lists sector peers for comparison.
What does Booz Allen Hamilton Holding Corporation do?
Booz Allen Hamilton Holding Corp provides technology solutions in areas such as artificial intelligence, cybersecurity, and related fields.
About Booz Allen Hamilton Holding Corporation (BAH) Stock
Booz Allen Hamilton Holding Corporation (BAH) is a US-listed stock operating in the Other sector, specifically the Services-Management Consulting Services industry. Real-time pricing data for Booz Allen Hamilton Holding Corporation is available on this page with a market capitalization of $9.3 billion. The financial health score for BAH is 66/100, which indicates good financial strength based on profitability, leverage, liquidity, and growth metrics. This page provides real-time pre-market pricing, earnings calendar, financial health analysis, and valuation metrics for BAH stock.
BAH Stock Analysis & Key Metrics
On PreMarketPrice, you can track Booz Allen Hamilton Holding Corporation (BAH) across multiple dimensions:
- Pre-market price & movement: Real-time BAH stock price with percentage change, updated continuously during pre-market and regular trading hours.
- Valuation & P/E history: Historical P/E, P/S, and P/B ratios for BAH with trend analysis and normalized valuation multiples.
- Financial statements: Revenue, net income, assets, liabilities, and equity for Booz Allen Hamilton Holding Corporation across multiple reporting periods.
- Financial health score: A composite score of 66/100 based on Altman Z-Score, Piotroski F-Score, profitability, and leverage metrics for BAH.
- Sector peers: Compare BAH against 7 other other stocks on key financial metrics.
Is BAH a Good Stock to Buy?
This page provides data-driven analysis to help you evaluate Booz Allen Hamilton Holding Corporation (BAH) as an investment. The financial health score of 66/100 suggests good financial fundamentals. Valuation metrics show whether the stock is trading above or below its historical average.However, this is not financial advice — always do your own research before investing.
Data on this page is sourced from real-time market feeds, Polygon.io, and Finnhub.Booz Allen Hamilton Holding Corporation (BAH) trades on NYSE/NASDAQ. Pre-market trading occurs 4:00 AM – 9:30 AM ET. Regular market hours are 9:30 AM – 4:00 PM ET.