Honeywell International (HON) 10-K Summary — Year Ended Dec 31, 2025
Honeywell International Inc. filed its annual report for the most recent fiscal year. The filing describes the company's business segments, financial results, risk factors, and liquidity position.
Key takeaway
Year ended Dec 31, 2025 · FY2025 10-K
Honeywell International Inc. filed its annual report for the most recent fiscal year. The filing describes the company's business segments, financial results, risk factors, and liquidity position.
Financial snapshot
Selected annual figures reported with the filing, shown separately from the narrative summary.
Annual revenue
$37.4B
Revenue reported for the fiscal year.
Operating income
$8.1B
Income from operations reported for the year.
Net income
$4.7B
Net income reported for the year.
Operating cash flow
$6.4B
Cash generated by operating activities.
Annual revenue trend
Reported annual revenue and its change from the preceding fiscal year.
| Period ended | Revenue | Year-over-year change |
|---|---|---|
| Mar 31, 2025 | $8.9B | -74.3% |
| Jun 30, 2025 | $9.3B | +4.4% |
| Sep 30, 2025 | $9.4B | +1.2% |
| Dec 31, 2025 | $37.4B | +296.8% |
Business overview
Honeywell operates as a diversified technology and manufacturing company, serving customers in aerospace, building technologies, performance materials, and safety and productivity solutions. The filing outlines its business through multiple segments, each focused on specific industrial and commercial end markets.
Financial performance
The company reported annual revenue and operating income, with net income and operating cash flow also disclosed. The filing includes quarterly revenue trends that show variability across periods.
Material risks
The filing identifies risk factors including market risks, quantitative and qualitative disclosures about market exposures, and cybersecurity risks. It also references legal proceedings and unresolved staff comments as potential sources of uncertainty.
Liquidity and capital
The liquidity and capital resources section discusses the company's cash flow and capital allocation strategies. The filing indicates that operating cash flow was a key source of liquidity.
What to watch
Readers should monitor the company's quarterly revenue trends for signs of sustained growth or further variability.