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Garrett Motion Inc. (GTX)

Valor Justo
Consumer CyclicalAuto PartsUnited States

Fundamental

61

Precio

$26.03

Capitalización Bursátil

$4.87B

Parte 1 · Cuánto vale la empresa

Resumen

Garrett Motion Inc. designs, manufactures, and sells turbocharging, air and fluid compression, and high-speed electric motor technologies to original equipment manufacturers and independent aftermarket distributors in the mobility and industrial fields. Its solutions include mechanical and electrical products for turbocharging and boosting internal combustion engines, as well as for compressing air and refrigerants for industrial and mobility use. The company operates in the United States, Europe, Asia, and internationally. Garrett Motion Inc. was incorporated in 2018 and is based in Plymouth, Michigan.

No editorial profile for this company yet

Direct competitors

Who this company fights with for the same customers

Compare

Generated on 18 de septiembre de 2026 with claude-haiku-4-5 — shared with all users

P/E: 26.4Score: 71Market cap: $71.29B

Through its Holset turbocharger brand, Cummins competes with Garrett for boosting systems on heavy-duty trucks and off-highway engines.

BorgWarner Inc.BWA

BorgWarner is the other global full-line turbocharger supplier, bidding against Garrett for the same light-vehicle and commercial-vehicle boosting programs at the same OEMs, and pushing into the same electrified air-management products.

Mitsubishi Heavy Industries, Ltd. (三菱重工業株式会社)7011

Its turbocharger division supplies passenger-car and commercial-engine turbos to Japanese, European and Chinese carmakers, competing with Garrett for the same OEM platforms.

IHI Corporation (株式会社IHI)7013

IHI is one of the four manufacturers that dominate the automotive turbocharger market, selling gasoline and diesel turbos to the same car and truck makers Garrett serves, especially in Asia.

BMTS Technology GmbH & Co. KG (formerly Bosch Mahle Turbo Systems)Not tracked

BMTS is an independent European turbocharger maker that bids for the same gasoline and diesel boosting contracts with European carmakers.

Balance y Liquidez

Ingresos

$3.69B

Últimos 12 meses (hasta 31/3/2026)

Beneficio Neto

$343M

Últimos 12 meses (hasta 31/3/2026)

Flujo de Caja Libre

$341M

Patrimonio Neto Total

$-802M

Pasivo Total

$3.17B

Ratio de Liquidez

0.98

Cobertura de Intereses

-

Deuda/EBITDA

2.24

Beneficio Por Acción

Ingresos y Beneficio Neto

Flujo de Caja Libre

Desglose de Ingresos

Estado histórico

Márgenes en el tiempo

La deuda en el tiempo

Cuánto pesa la deuda

Cuadro de crecimiento

Crecimiento — Ingresos

Estimación de Valor Justo

CíclicaValoración Justa

Valor Justo

$29.75

Precio Actual

$26.03

Margen de Seguridad

+12.5%

Rango de Valor Justo

$22.65 - $36.85

Dispersión entre los métodos de valoración utilizados, no un intervalo de confianza calibrado estadísticamente.

Métodos de Estimación

Precio objetivo de los analistas:$36.83
Flujo de caja descontado (DCF):No aplicable a este tipo de empresa
Múltiplo sobre beneficios (P/E):$21.83
Fórmula de crecimiento de Graham:No aplicable a este tipo de empresa
Valor de la capacidad de generar beneficios (EPV):$23.08
P/B justificado:No aplicable a este tipo de empresa
Descuento de dividendos (Gordon):No aplicable a este tipo de empresa
P/FFO, fondos de operaciones:No aplicable a este tipo de empresa
Beneficios de mitad de ciclo:Datos insuficientes para calcularlo
Múltiplo sobre ingresos:No aplicable a este tipo de empresa
Consenso de Analistas:Compra Fuerte (8B / 2H / 0S)
Última Sorpresa de Resultados:+13.83%

Métricas de Valoración

Ratio P/E

15.22

ROE

-38.7%

Ratio P/B

-

P/FCF

12.82

Margen Bruto

20.3%

ROIC

-

Radar de Rentabilidad

Creación de Valor (Ventaja Competitiva)

ROIC

-

WACC

7.3%

ROIC − WACC

-

Criterios de Análisis Fundamental

Superado (16)

  • Price CAGR 9.50%
  • P/FCF 12.82
  • Positive Free Cash Flow
  • CapEx intensity
  • Current Ratio
  • Debt/EBITDA
  • Return on Tangible Assets
  • Low reliance on intangibles
  • ROE 12.5%
  • Analyst Consensus 80% Buy
  • Earnings Surprise avg 15.3%
  • PEG Ratio 1.77
  • Earnings Quality (OCF/NI) 1.33
  • Share Dilution -8.9%
  • Net Margin Trend 9.3% vs 8.1%
  • Piotroski F-Score 7/9

Fallido (5)

  • EPS shows upward trend
  • EPS CAGR -6.15%
  • Gross Margin 20.3%
  • DCF valuation (Fairly valued)
  • Revenue Growth 5Y 3.4%

No disponible (7)

  • ROIC NaN%
  • P/B Ratio NaN
  • Dividend Payout NaN%
  • Debt/Equity ratio
  • Operating Margin NaN%
  • Interest Coverage
  • Price below Graham Number

Piotroski F-Score

7/9

Solidez financiera fuerte

score
criteria

Calidad de los Beneficios

1.33

Alta calidad: beneficios respaldados por efectivo

Dilución de Acciones

-8.9%

Recomprando acciones. Favorable para el accionista

Participaciones institucionales

Gobernanza

Equipo Directivo

NombreCargoEdad
Mr. Olivier RabillerPresident, CEO & Director54
Mr. Sean Ernest Deason C.M.A.Senior VP & CFO53
Mr. Craig BalisSenior VP & CTO60
Mr. Thierry MabruSenior Vice President of Integrated Supply Chain57
Ms. Joanne LauVP, Chief Accounting Officer & Corporate Controller47
Mr. Thomas PeterSenior VP & Chief Digital & Information Officer-
Mr. Cyril GrandjeanVice President of Investor Relations & Treasurer-
Mr. Mark RollingerSenior VP, General Counsel & Corporate Secretary56
Mr. Fabrice SpenninckSenior VP & Chief Human Resources Officer56
Mr. Eric FrayssePresident Global Aftermarket, Brazil & India-

Riesgo de Auditoría

4

Riesgo del Consejo

2

Riesgo de Compensación

1

Riesgo de Derechos del Accionista

1

Parte 2 · El precio y el momento de entrar

Esta parte no sirve para saber si la empresa vale: sirve para elegir cuándo comprarla, una vez que los fundamentales te han convencido. Dentro: análisis técnico, potencial, caídas históricas, exposición gamma.

Documentos

  • Informe anual (10-K)

    Un resumen anual del negocio, los resultados financieros y los riesgos de la empresa.

    Presentado el 2026-02-19

    Ver documento
  • Informe trimestral (10-Q)

    Una actualización del desempeño financiero de los últimos tres meses.

    Presentado el 2026-07-29

    Ver documento
  • Informe de hecho relevante (8-K)

    Un aviso sobre un hecho relevante, como un cambio de dirección o un anuncio importante.

    Presentado el 2026-07-29

    Ver documento

via SEC EDGAR

Historial de Resultados

via SEC EDGAR

Latest News

Recent headlines for GTX, sourced from Markets Gazette.

  • 3/3/2026POSITIVE
    Garrett Motion: A Strong Contender in the Auto Parts Market

    Garrett Motion is emerging as a prominent player in the dynamic auto parts sector, with the potential to become a significant winner. Analysis highlights the company's robust fundamentals and substantial growth prospects, crucial factors in a rapidly evolving automotive landscape. Investors should closely monitor Garrett Motion, as its capacity for innovation and adaptation could translate into superior stock performance. Its inherent strength and strategic vision make it an attractive opportunity for those seeking exposure to companies with a clear path to expansion in the auto parts market.

  • 2/26/2026POSITIVE
    Apis Capital Expands Garrett Motion Stake as Hybrid Demand Extends the Combustion Cycle

    Markets Gazette reports a significant increase in Apis Capital Advisors' stake in Garrett Motion, a crucial supplier of turbocharging systems. This strategic move reflects an optimistic outlook on Garrett's ability to capitalize on the persistent demand for hybrid and combustion vehicles. In a context where global auto production remains heavily reliant on these technologies, Apis Capital's investment suggests that the lifecycle of traditional and hybrid engines is extending longer than anticipated. Market analysts will interpret this as a vote of confidence in the resilience of Garrett's revenue streams, despite long-term pressures towards electrification. For investors, the transaction highlights potential for sustained earnings growth driven by the continued relevance of Garrett's products in the current automotive landscape.

via Markets Gazette