BorgWarner demonstrates a strong business model with solid financial performance and a resilient product portfolio. Despite facing some challenges, particularly in the battery segment, the company is well-positioned for future growth with a strategic focus on innovation and market expansion.
Analysis Date: February 6, 2025 Last Updated: May 29, 2025
-35%
-4.3% per year
Past performance does not guarantee future results. The data presented is indicative and may not be updated in real-time.
CountryUS
ExchangeNYSE
IndustryAuto - Parts
SectorConsumer Cyclical
Market Cap$7.01B
CEOMr. Frederic B. Lissalde
BorgWarner Inc. is a company that makes important parts for cars and trucks, helping them run better and cleaner. They provide products for traditional gasoline vehicles, as well as for newer electric and hybrid models. Their main offerings include items like turbochargers, fuel systems, and electric components that help manage energy. BorgWarner sells these products to car manufacturers and repair shops around the world.
Streams of revenue
Air Management:54%
Drivetrain:33%
e-Propulsion & Drivetrain:13%
Geographic Distribution
Europe:37%
Asia:35%
North America:27%
Other Foreign:2%
Core Products
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TurbochargersBoost engine power
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Electric MotorsPower EVs
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Emissions SystemsReduce emissions
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Thermal ManagementRegulate temperature
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Transmission SystemsEfficient gear shifts
Business Type
Business to Business
Competitive Advantages
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Graham Value Metrics
Benjamin Graham's value investing approach focuses on finding stocks with a significant margin of safety between their intrinsic value and market price.
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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.
Income Statement Flow
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Profitability metrics measure a company's ability to generate earnings relative to its revenue, operating costs, and other relevant metrics. Higher values generally indicate better performance.
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BWA Stock Analysis: BorgWarner Inc. Investment Guide
BWA (BorgWarner Inc.) is a Consumer Cyclical company listed on New York Stock Exchange. The stock has generated -4.3% annual returns with an overall investment score of None/100.
BorgWarner demonstrates a strong business model with solid financial performance and a resilient product portfolio. Despite facing some challenges, particularly in the battery segment, the company is well-positioned for future growth with a strategic focus on innovation and market expansion.
BWA Key Financial Metrics
BWA financial analysis includes comprehensive valuation ratios, profitability metrics, and financial health indicators. The company has a valuation score of 10.0/100 with financial health rated 7.1499999999999995/100.
About BorgWarner Inc.
BorgWarner Inc. is a company that makes important parts for cars and trucks, helping them run better and cleaner. They provide products for traditional gasoline vehicles, as well as for newer electric and hybrid models. Their main offerings include items like turbochargers, fuel systems, and electric components that help manage energy. BorgWarner sells these products to car manufacturers and repair shops around the world.
BWA Investment Recommendation
Based on our comprehensive analysis of BWA, investors should consider the company's challenging performance track record, earnings consistency (8/10 quarters beat expectations), and current valuation metrics when making investment decisions.
Consumer Cyclical Sector Analysis
BWA operates in the Auto - Parts industry within the Consumer Cyclical sector. This analysis compares BorgWarner Inc. performance against industry and sector benchmarks to provide context for investment decisions.
Frequently Asked Questions about BWA Stock
Is BWA a good investment?
BWA (BorgWarner Inc.) has generated -4.3% annual returns with an overall score of None/100. BorgWarner demonstrates a strong business model with solid financial performance and a resilient product portfolio. Despite facing some challenges, particularly in the battery segment, the company is well-positioned for future … Investors should consider their risk tolerance and investment goals when evaluating BWA.
What is BWA P/E ratio and valuation?
BWA valuation metrics including P/E ratio, price-to-book ratio, and price-to-sales ratio are analyzed on this page with comparisons to Auto - Parts industry and Consumer Cyclical sector benchmarks. The company currently has a valuation score of 10.0/100.
Should I buy BWA stock now?
The decision to buy BWA stock should be based on comprehensive analysis of financial metrics, market conditions, and individual investment goals. Our analysis provides , financial health score of 7.1499999999999995/100, and detailed performance metrics to help inform your investment decision.
What are BWA financial health indicators?
BWA financial health analysis includes liquidity ratios, debt levels, cash flow metrics, and profitability indicators. The company has a financial health score of 7.1499999999999995/100 based on comprehensive analysis of balance sheet strength and operational efficiency.
How does BWA compare to competitors?
BWA performance is benchmarked against Auto - Parts industry peers and Consumer Cyclical sector averages. Our analysis includes comparative valuation ratios, profitability metrics, and growth indicators to provide context for BorgWarner Inc.'s market position.
What are BWA historical returns?
BWA has generated -4.3% annual returns over the 10Y. Historical performance analysis includes price appreciation, dividend yields, and total shareholder returns compared to market benchmarks.
BWA Key Investment Metrics Summary
Annual Return: -4.3%
Valuation Score: 10.0/100
Financial Health Score: 7.1499999999999995/100
Growth Score: -36.588141817001734/100
Earnings Beat Rate: 8/10 quarters
Sector: Consumer Cyclical
Industry: Auto - Parts
Exchange: New York Stock Exchange
Market Cap: 7006054500
BWA Investment Thesis
BorgWarner Inc. (BWA) represents a challenging investment opportunity in the Consumer Cyclical sector. With an overall score of None/100, the company demonstrates areas for financial improvement.
Investment Strengths
Attractive Price-to-Sales Ratio
Reasonable EV to EBITDA Ratio
Decent Gross Profit Margin
Positive Free Cash Flow Yield
Strong Liquidity Ratios
Manageable Debt Levels
Strong Financial Performance
Diversified and Resilient Product Portfolio
Strong Customer Relationships
Strategic Focus on Growth and Innovation
New Product Awards Indicating Future Growth
Investment Risks
High P/E Ratio
Low Net Profit Margin
Low Return on Equity
High Debt-to-Assets Ratio
Low Cash Ratio
Goodwill Impairment Charges
Market Headwinds and Tariff Implications
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