Sector · serious

Defense & Aerospace

Defense tickers, aerospace, ITA ETF, defense plant TRI.

Lockheed Martin, Boeing, Northrop, Raytheon (RTX), Spirit AeroSystems, plus the ITA defense ETF. EPA/TRI waste data for defense-plant operations (which are heavily regulated and report frequently) gives an early production read on the defense supply chain — often 4-8 weeks ahead of company guidance.
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Flagship signals

StandardequitiesSP-2523

ITA Defense / Aerospace ETF

243.9 3%vs ~6 weeks ago
Aerospace + defense (LMT, NOC, RTX, BA). Geopolitical signal.
last fired 6 months ago

Historically barely better than chance over the next year.

Signature window1 yr
+2.5%SPY 3 mo into the 1 yr window so far
OPPOSITE OF HISTORY
50%
−0.02%
1 d
49%
−0.07%
1 wk
51%
−0.07%
1 mo
51%
−0.07%
3 mo
51%
−0.04%
6 mo
53%
+0.40%
1 yr
StandardequitiesSP-1334

Lockheed Martin

581.3 8%vs ~6 weeks ago
Defense prime contractor. Production via epa_lmt_waste.
last fired 5 months ago

Historically barely better than chance over the next trading quarter.

Signature window1 yr(cell shown is 3 mo — Analyst tier shows the precise horizon)
+9.7%SPY over the 3 mo after the last fire
OPPOSITE OF HISTORY
49%
−0.03%
1 d
49%
−0.08%
1 wk
49%
−0.23%
1 mo
48%
−0.55%
3 mo
48%
−0.86%
6 mo
49%
−0.84%
1 yr
Standardindustrial_pulseSP-3138

Lockheed Martin Hazardous Waste Tonnage

2.05 96%vs ~6 weeks ago
Monthly hazardous waste from Lockheed Martin US plants. F-35 / missile / space programs.

Historically barely better than chance over the next trading day.

Signature window3 mo(cell shown is 1 d — Analyst tier shows the precise horizon)
50%
1 d
50%
1 wk
50%
1 mo
50%
3 mo
50%
6 mo
50%
1 yr

All defense & aerospace indicators