NYSE : HXL

Hexcel Corporation — Institutional Ownership

$100.83 USD

-$2.6 (-2.51%)

Volume
912.58K
Average Volume
1.08M
Market Capitalization
$7.63B
P/E Ratio
50.42
Dividend Yield
0.70%
Price Target
$110.00
Year High
$111.74
Year Low
$60.04
Day High
Day Low
Payout Ratio
$0.35
Current Ratio
$2.43
Institutional Ownership Summary
Institutional Ownership %

41.04%

Investors Holding

271

change: -208.0 | last: 479
Increased Positions

129

change: -95.0 | last: 224
Reduced Positions

71

change: -86.0 | last: 157
New Positions

57

change: -28.0 | last: 85
Sold Positions

259

change: 210.0 | last: 49
Total Calls

1500

Total Puts

200

Put-Call Ratio

0.13

change: -4.6835 | last: 0.1802
Total Invested

3.11B

Beneficial Ownership Filings
Filing Date Reporting Person Amount Beneficially Owned % of Class
2026-05-18 AllianceBernstein L.P. 3.4M 4.50%
2026-05-12 STATE STREET CORPORATION 4.77M 6.30%
2026-04-30 Vanguard Capital Management 3.97M 5.23%
2026-04-30 BlackRock Portfolio Management LLC 5.07M 6.70%
2026-03-27 The Vanguard Group - 0.00%
2026-02-17 T. Rowe Price Associates, Inc. 5.1M 6.40%
2025-11-14 AllianceBernstein L.P. 4.85M 6.10%
2025-11-14 T. Rowe Price Associates, Inc. 4.31M 5.40%
2025-08-15 EARNEST PARTNERS LLC 5.14M 6.50%
2025-02-04 STATE STREET CORPORATION 4.06M 5.00%
2023-02-09 Morgan Stanley 6.65M 7.90%
2023-02-09 Boston Management and Research 341.62K 0.40%
2022-04-08 (1) BlackRock, Inc. 8.42M 10.00%
2022-02-14 13-4064930 5.85M 7.00%
2022-02-10 The Vanguard Group - 23-1945930 7.6M 9.06%
2022-02-10 Morgan Stanley 7.77M 9.30%
2022-02-10 Boston Management and Research 4.62M 5.50%
2022-02-07 (1) BlackRock, Inc. 7.94M 9.50%
2021-12-10 Boston Management and Research 4.62M 5.50%
2021-12-10 Morgan Stanley 7.77M 9.30%
2021-02-12 Eaton Vance Management 04-3101341 7.62M 11.00%
2021-02-10 The Vanguard Group - 23-1945930 7.29M 8.72%
2021-01-29 (1) BlackRock, Inc. 7.63M 9.10%
2020-07-10 (1) BlackRock, Inc. 8.42M 10.10%
2020-05-11 Eaton Vance Management 04-3101341 8.9M 11.00%
2020-02-12 The Vanguard Group - 23-1945930 7.51M 8.89%
2020-02-06 13G 52545.0 12.00%
2020-02-06 13G 2.31M 12.00%
2020-02-05 (1) BlackRock, Inc. 6.03M 7.10%
2019-02-12 Menora Mivtachim Holdings Ltd. 1.27M 9.64%
2019-02-08 10. 4.46M 5.17%
2019-02-08 10. 68657.0 0.08%
2019-02-04 (1) BlackRock, Inc. 5.44M 6.30%
2018-02-13 13-4064930 2.78M 3.10%
2018-01-25 (1) BlackRock, Inc. 5.26M 5.90%
2017-08-03 Westfield Capital Management Company, LP - 0.00%
2017-02-10 13-4064930 4.83M 5.30%
2017-01-30 (1) BlackRock, Inc. 4.93M 5.40%
2016-02-11 Pivot Point Capital Master, LP 970.03K 4.00%
2014-02-11 T. ROWE PRICE ASSOCIATES, INC. 4.34M 7.00%
2013-07-10 (1) BlackRock, Inc. 3.22M 3.22%
2013-02-12 Sabby Healthcare Volatility Master Fund, Ltd. 9.62M 9.99%
2013-01-30 (1) BlackRock, Inc. 5.2M 5.22%
2012-06-08 (1) BlackRock, Inc. 4.93M 4.95%
2012-03-09 Lord, Abbett & Co. LLC 4.42M 4.44%
2012-02-14 Lord, Abbett & Co. LLC 5.33M 5.41%
2012-02-13 (1) BlackRock, Inc. 5.67M 5.76%
2011-02-14 Lord, Abbett & Co. LLC 9.61M 9.88%
2011-02-09 52-0556948 6.55M 6.70%
2011-02-04 (1) BlackRock, Inc. 5.16M 5.31%
2010-10-08 (1) BlackRock, Inc. 4.84M 4.98%
2010-08-10 Lord Abbett Research Fund, Inc. - Small-Cap Value Series 4.8M 4.94%
2010-02-12 Series 5.82M 6.02%
2010-01-29 BlackRock for purposes of Schedule 13G filings. 5.12M 5.30%
2010-01-08 13-5156620 5.48M 5.70%
2008-02-14 Edward C. Johnson 3d 6.49M 6.79%
2008-02-14 FMR LLC 6.49M 6.79%
2008-01-10 Westfield Capital Management Company, LLC             #30-0027188 230.58K 0.24%
2007-02-14 Edward C. Johnson 3d 12.88M 13.76%
2007-02-14 FMR Corp. 12.88M 13.76%
2007-02-14 Westfield Capital Management Company, LLC             #30-0027188 5.69M 6.08%
2006-04-10 Edward C. Johnson 3d 12.09M 13.00%
2006-04-10 FMR Corp. 12.09M 13.00%
2005-12-12 FMR Corp. 1.86M 2.72%
2005-12-12 Edward C. Johnson 3d 1.86M 2.72%
2005-02-14 Edward C. Johnson 3d 4.13M 8.21%
2005-02-14 FMR Corp. 4.13M 8.21%
2005-02-14 Abigail P. Johnson 4.13M 8.21%
2005-02-09 (. 2.04M 4.06%
2004-02-06 (. 2.05M 5.29%
2003-04-17 13-3904291 2.29M 5.80%
2003-02-11 (. 2.5M 6.51%
2002-09-11 Ciba Specialty Chemicals Corporation 3.47M 9.00%
2001-02-13 04-2683227 557.3K 1.51%
2001-01-16 Franklin Mutual Advisers, LLC 841.67K 2.30%
2000-02-11 04-2683227 2.52M 6.83%
2000-01-18 Franklin Mutual Advisers, LLC 3.63M 9.90%
1999-01-29 Franklin Resources, Inc. - 0.00%
1998-02-10 Abigail P. Johnson 1.22M 3.24%
1998-02-10 FMR Corp. 1.22M 3.24%
1998-02-10 Edward C. Johnson 3d 1.22M 3.24%
1998-02-04 Franklin Resources, Inc. 3.92M 10.60%
1997-06-10 13-2670991 3.81M 10.40%
1997-02-13 13-2670991 3.63M 9.90%
1997-02-11 Abigail P. Johnson 2.46M 6.57%
1997-02-11 04-2507163) 2.46M 6.57%
1997-02-11 Edward C. Johnson 3d 2.46M 6.57%
1997-02-03 39-6006423 - 0.00%
1996-05-29 Heine Securities Corporation 3.54M 9.80%
1996-05-29 Michael F. Price 3.54M 9.80%
1996-02-02 39-6006423 1.59M 8.80%
1995-03-03 39-6006423 708K 9.68%
HXL Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-12-31 $73.90 79.5M $5.88B $71M $993M $6.8B
2024-12-31 $62.70 82.3M $5.16B $125.4M $726.1M $5.76B
2023-12-31 $73.75 84.6M $6.24B $227M $728.9M $6.74B
2022-12-31 $58.85 84.4M $4.97B $112M $773.1M $5.63B
2021-12-31 $51.80 84.1M $4.36B $127.7M $823.3M $5.05B
2020-12-31 $48.49 83.8M $4.06B $103.3M $985.8M $4.95B
2019-12-31 $73.31 84.9M $6.22B $64.4M $1.13B $7.29B
2018-12-31 $57.34 87.9M $5.04B $32.7M $956.8M $5.96B
2017-12-31 $61.85 90.6M $5.6B $60.1M $809.9M $6.35B
2016-12-31 $51.44 92.8M $4.77B $35.2M $688.7M $5.43B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-06-30 $100.06 75.7M $7.57B $62.2M $959.4M $8.47B
2026-03-31 $80.93 75.9M $6.14B $54.1M $998.1M $7.09B
2025-12-31 $73.90 76.9M $5.68B $71M $993M $6.6B
2025-09-30 $62.70 79.8M $5B $90.5M $757.9M $5.67B
2025-06-30 $56.49 80.2M $4.53B $77.2M $827.7M $5.28B
2025-03-31 $54.76 81.1M $4.44B $89.2M $787.2M $5.14B
2024-12-31 $62.70 81.2M $5.09B $125.4M $700.7M $5.67B
2024-09-30 $61.83 81.5M $5.04B $98.2M $805.2M $5.75B
2024-06-30 $62.49 82.5M $5.16B $75.4M $795M $5.88B
2024-03-31 $71.79 83.9M $6.02B $85.9M $714.7M $6.65B
2023-12-31 $73.75 84.4M $6.22B $227M $728.9M $6.73B
2023-09-30 $65.14 84.6M $5.51B $97.7M $754.2M $6.17B