SI

StandardAero, Inc.

SAROยทNYSE

$24.91

+2.3%
IndustrialsAerospace & Defense

StandardAero, Inc. provides aerospace engine aftermarket services for fixed and rotary wing aircraft in the United States, Canada, the United Kingdom, Rest of Europe, Asia, and internationally. It operates in two segments, Engine Services and Component Repair Services. The Engine Services segment provides a suite of aftermarket services, including maintenance, repair and overhaul, on-wing and field service support, asset management, and engineering and related solutions to customers in the commercial aerospace, military and helicopter, and business aviation end markets. The Component Repair Services segment offers engine component and accessory repairs to the commercial aerospace, military and helicopter, land and marine, and oil and gas end markets. The company was founded in 1911 and is headquartered in Scottsdale, Arizona.

At a Glance

Live Snapshot
Market Cap$8.28B
EPS0.8400
P/E Ratio29.65
Earnings Date08/12/2026
3Y+1062.0%
5Y+142.0%
10Y+142.0%
3Y+75.0%
5Y-64.0%
10Y-64.0%
3Y-1.0%
5Y-111.0%
10Y-111.0%
S

StandardAero, Inc. Cash Conversion Engine

SARO ยท NYSE
Net Income277.42M
Depreciation & Amortization203.52M
Stock-Based Compensation13.24M
Change in Working Capital-162.50M
Others818.00K
Capital Expenditures-82.41M
Free Cash Flow234.30M

Cash Flow Quality Analysis

FCF Conversion Rate

84.5%

Strong cash conversion. Most reported earnings translate into actual cash flow, suggesting solid fundamentals.

CapEx Intensity

26.0%

Moderate capital requirements typical of many stable businesses. Healthy balance between reinvestment and cash generation.

FCF Growth Trend

+600.0%

Strong FCF growth demonstrates improving cash generation and business momentum. Positive signal for sustainability.

Working Capital Impact

-$162.50M

Significant working capital drain. Growth may be consuming cash through inventory buildup or receivables extensionโ€”monitor closely.

Cash Flow Quality Insight

Asset-light with strong cash conversion: Low capital requirements combined with efficient cash generation creates significant shareholder value through dividends, buybacks, or strategic investments.

StandardAero, Inc. Cash Flow Statement

SARO โ€ข NYSE

StandardAero, Inc. Cash Flow StatementDec 2025Dec 2024Dec 2023Dec 2022Dec 2021
OPERATING ACTIVITIES
277.4M
11M
-35.1M
-21M
-31M
203.5M
187.1M
197.1M
195.2M
196.4M
-15.8M
-22.5M
-19.8M
-26.5M
-57.2M
13.2M
17.4M
0.0
0.0
0.0
818K
27.5M
25M
23.5M
18.6M
(102.5M)
(101.7M)
(99.5M)
(40.5M)
(29.8M)
-162.5M
-144.1M
-99.3M
-144M
4.1M
316.7M
76.3M
67.9M
27.3M
130.7M
INVESTING ACTIVITIES
-82.4M
-102.9M
-55.1M
-41.2M
-65.7M
(0.0)
-114.1M
-31.1M
-19.9M
-232.5M
-24M
-18.4M
-26.7M
394K
3.6M
-106.4M
-235.4M
-112.9M
-60.8M
-294.6M
FINANCING ACTIVITIES
0.0
1.2B
0.0
0.0
0.0
-25.5M
-988.5M
-8.8M
-24.3M
242.4M
0.0
-10.5M
-5.9M
-1.5M
-9.2M
-25.5M
203.8M
-14.7M
-25.8M
233.2M
CASH FLOW SUMMARY
2.3M
-41K
-2.4M
-3.8M
-3.4M
187.1M
44.6M
-62.1M
-63.1M
65.9M
102.6M
58M
120.1M
183.2M
117.3M
289.7M
102.6M
58M
120.1M
183.2M
234.3M
-46.9M
-17.4M
-17M
65M

SEC Filings

SARO - Filing history and reports

Filing TypeFiling DatePeriod EndingFiscal YearActions
8-K

8-K 2026

N/A

June 02, 2026
June 01, 2026
2026
10-Q

10-Q 2026 Q1

Q1

May 08, 2026
March 31, 2026
2026
8-K

8-K 2026

N/A

May 07, 2026
May 07, 2026
2026
DEF 14A

DEF 14A 2026

N/A

April 30, 2026
June 25, 2026
2026
10-K

10-K 2025 FY

FY

February 26, 2026
December 31, 2025
2025
8-K

8-K 2026

N/A

February 25, 2026
February 25, 2026
2026
8-K

8-K 2026

N/A

January 29, 2026
January 27, 2026
2026
8-K

8-K 2026

N/A

January 27, 2026
January 27, 2026
2026
8-K

8-K 2025

N/A

December 10, 2025
December 09, 2025
2025
8-K

8-K 2025

N/A

November 10, 2025
November 10, 2025
2025
Showing 1 to 10 of 36 filings