Defense & Aerospace Stocks
Defense technology and aerospace stocks — from drone makers and space launch companies to eVTOL and advanced materials, the new frontier of national security investment.
| Ticker | Company | Price | Mkt Cap | Rev. Growth | 52W Pos. | Upside |
|---|---|---|---|---|---|---|
| RKLB | Rocket Lab USA | $93.09 -7.34% | $58.16B | 63.5% | 50% | 22.6% |
| ASTS | AST SpaceMobile | $80.64 -5.27% | $31.3B | 1952.2% | 45.6% | 1% |
| KTOS | Kratos Defense and Security | $53.54 -3.27% | $10.04B | 22.6% | 11.8% | 105.2% |
| AVAV | AeroVironment | $176.84 -7.36% | $8.95B | 133.3% | 14.7% | 46.2% |
| JOBY | Joby Aviation | $8.93 +5.12% | $8.78B | 0% | 8.9% | 24.6% |
| ACHR | Archer Aviation | $5.36 +7.63% | $4.09B | 0% | 7.5% | 98% |
| ATRO | Astronics Corporation | $71.79 +1.36% | $3.54B | 12% | 74.7% | 6.1% |
| LUNR | Intuitive Machines | $18.89 -3.52% | $3.03B | 198.7% | 28.5% | 115.9% |
| RDW | Redwire Corporation | $11.36 +0.44% | $2.26B | 57.9% | 29.8% | 37.9% |
| RCAT | Red Cat Holdings | $10.11 -3.16% | $1.54B | 849.1% | 33.4% | 117.6% |
| INDI | Indie Semiconductor | $4.63 +6.93% | $978.3M | 2.6% | 61.9% | 26.2% |
| EVEX | Eve Holding | $2.77 +6.54% | $964.8M | 0% | 8.4% | 132.3% |
| HYPR | Hyperfine | $1.27 -2.31% | $126.1M | 82.6% | 34.9% | 70.6% |
| MNTS | Momentus Space | $6.58 +11.34% | $123.9M | 898.4% | 8.6% | — |
| CODA | Coda Octopus Group | $9.67 +0.52% | $109.1M | -1.6% | 25.9% | 44.8% |
| NNOX | Nano-X Imaging | $1.32 +1.54% | $91.9M | 53.1% | 11.8% | 339.4% |
Analysis and Context
This sector screener currently shows 16 stocks from the selected industry segment — updated daily. The average P/E ratio is 136x. The average revenue growth rate is 270.3%. Sectors move through cyclical phases strongly correlated with macro factors — interest rates, GDP growth, commodity prices, and regulatory environment all drive sector dynamics. Analysts see an average of 79.2% upside in these sector names. Compare metrics against the sector average to identify relative over- and undervaluations. Sector concentration increases portfolio risk — maintain adequate diversification across industries and business models.
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