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StandardAero, Inc. (SARO) 10-Year Financial Performance & Capital Metrics

SARO • • Industrial / General
IndustrialsAerospace & DefenseMRO & Aftermarket ServicesAviation MRO Services
AboutStandardAero, 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.Show more
  • Revenue $5.24B +14.8%
  • EBITDA $590M +10.4%
  • Net Income $11M +131.3%
  • EPS (Diluted) 0.04 +137.9%
  • Gross Margin 14.4% +3.4%
  • EBITDA Margin 11.27% -3.8%
  • Operating Margin 7.7% +4.1%
  • Net Margin 0.21% +127.3%
  • ROE 0.62% +120.9%
  • ROIC 6.61% +16.4%
  • Debt/Equity 1.02 -65.5%
  • Interest Coverage 1.38 +34.4%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong Piotroski F-Score: 8/9
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Share count reduced 13.4% through buybacks
  • ✓Trading near 52-week high

✗Weaknesses

  • ✗Negative free cash flow

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y-
TTM17.79%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM802.1%

EPS CAGR

10Y-
5Y-
3Y-
TTM791.04%

ROCE

10Y Avg7.01%
5Y Avg7.01%
3Y Avg7.01%
Latest8.37%

Peer Comparison

Aviation MRO Services
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
SAROStandardAero, Inc.10.89B32.55858.8414.77%3.15%7.15%1.02
AIRAAR Corp.4.18B105.74302.1119.91%3.17%6.03%0.03%0.86
VSECVSE Corporation4.94B211.34248.6425.53%2.39%2.7%0.49
HEIHEICO Corporation19.74B358.0473.0716.26%15.39%14.24%4.36%0.45
SKYHSky Harbour Group Corporation320.54M9.40-5.3494.86%-17.82%-2.62%2.02

Profit & Loss

Dec 2022Dec 2023Dec 2024
Sales/Revenue+4.15B4.56B5.24B
Revenue Growth %-0.1%0.15%
Cost of Goods Sold+3.6B3.93B4.48B
COGS % of Revenue0.87%0.86%0.86%
Gross Profit+545.68M635.28M754.16M
Gross Margin %0.13%0.14%0.14%
Gross Profit Growth %-0.16%0.19%
Operating Expenses+283.05M297.93M350.94M
OpEx % of Revenue0.07%0.07%0.07%
Selling, General & Admin188.1M202.77M207.27M
SG&A % of Revenue0.05%0.04%0.04%
Research & Development000
R&D % of Revenue---
Other Operating Expenses94.94M95.16M143.67M
Operating Income+262.63M337.36M403.22M
Operating Margin %0.06%0.07%0.08%
Operating Income Growth %-0.28%0.2%
EBITDA+457.86M534.46M590.3M
EBITDA Margin %0.11%0.12%0.11%
EBITDA Growth %-0.17%0.1%
D&A (Non-Cash Add-back)195.22M197.1M187.08M
EBIT264.98M314.76M364.26M
Net Interest Income+-242.99M-329.57M-291.67M
Interest Income000
Interest Expense242.99M327.98M291.67M
Other Income/Expense-240.64M-332.24M-321.46M
Pretax Income+22M5.12M81.76M
Pretax Margin %0.01%0%0.02%
Income Tax+43M40.18M70.78M
Effective Tax Rate %-0.95%-6.85%0.13%
Net Income+-21M-35.06M10.97M
Net Margin %-0.01%-0.01%0%
Net Income Growth %--0.67%1.31%
Net Income (Continuing)-21M-35.06M10.97M
Discontinued Operations000
Minority Interest000
EPS (Diluted)+-0.06-0.100.04
EPS Growth %--0.59%1.38%
EPS (Basic)-0.06-0.100.04
Diluted Shares Outstanding334.46M334.46M289.8M
Basic Shares Outstanding334.46M334.46M288.42M
Dividend Payout Ratio---

Balance Sheet

Dec 2022Dec 2023Dec 2024
Total Current Assets+2.01B2.14B2.49B
Cash & Short-Term Investments120.06M57.98M102.58M
Cash Only120.06M57.98M102.58M
Short-Term Investments000
Accounts Receivable1.22B1.34B1.51B
Days Sales Outstanding107.02107.16104.95
Inventory605.01M698.8M847.02M
Days Inventory Outstanding61.2664.9368.96
Other Current Assets68.86M39.13M29.71M
Total Non-Current Assets+3.72B3.62B3.73B
Property, Plant & Equipment709.64M690.68M740.81M
Fixed Asset Turnover5.85x6.61x7.07x
Goodwill1.61B1.63B1.69B
Intangible Assets1.39B1.3B1.3B
Long-Term Investments000
Other Non-Current Assets2.44M04.42M
Total Assets+5.73B5.76B6.21B
Asset Turnover0.72x0.79x0.84x
Asset Growth %-0.01%0.08%
Total Current Liabilities+968.81M1.07B1.27B
Accounts Payable503.73M468.63M645.7M
Days Payables Outstanding5143.5552.57
Short-Term Debt24.32M26.68M23.45M
Deferred Revenue (Current)1000K1000K1000K
Other Current Liabilities93.81M109.97M99.57M
Current Ratio2.08x2.00x1.95x
Quick Ratio1.45x1.34x1.29x
Cash Conversion Cycle117.28128.55121.34
Total Non-Current Liabilities+3.56B3.54B2.57B
Long-Term Debt3.16B3.17B2.21B
Capital Lease Obligations164.04M159.48M164.22M
Deferred Tax Liabilities209.38M182.3M169.82M
Other Non-Current Liabilities23.37M29.35M24.63M
Total Liabilities4.53B4.61B3.84B
Total Debt+3.37B3.38B2.41B
Net Debt3.25B3.32B2.31B
Debt / Equity2.81x2.94x1.02x
Debt / EBITDA7.36x6.32x4.09x
Net Debt / EBITDA7.09x6.21x3.91x
Interest Coverage1.08x1.03x1.38x
Total Equity+1.2B1.15B2.37B
Equity Growth %--0.04%1.07%
Book Value per Share3.583.438.19
Total Shareholders' Equity1.2B1.15B2.37B
Common Stock2.81M2.81M3.35M
Retained Earnings-1.54B-1.57B-1.56B
Treasury Stock000
Accumulated OCI10.29M-6.96M-11.42M
Minority Interest000

Cash Flow

Dec 2022Dec 2023Dec 2024
Cash from Operations+27.26M67.89M76.33M
Operating CF Margin %0.01%0.01%0.01%
Operating CF Growth %-1.49%0.12%
Net Income-21M-35.06M10.97M
Depreciation & Amortization195.22M197.1M187.08M
Stock-Based Compensation0017.38M
Deferred Taxes-26.52M-19.85M-22.51M
Other Non-Cash Items23.52M25.01M27.47M
Working Capital Changes-143.96M-99.31M-144.06M
Change in Receivables-181.69M-111.39M-150.64M
Change in Inventory-53.05M-91.25M-138.01M
Change in Payables95.06M-25.74M104.38M
Cash from Investing+-60.75M-112.86M-235.45M
Capital Expenditures-41.24M-55.13M-102.94M
CapEx % of Revenue0.01%0.01%0.02%
Acquisitions---
Investments---
Other Investing394K-26.67M-18.44M
Cash from Financing+-25.78M-14.69M203.76M
Debt Issued (Net)---
Equity Issued (Net)---
Dividends Paid000
Share Repurchases---
Other Financing-1.47M-5.89M-10.54M
Net Change in Cash---
Free Cash Flow+-16.95M-17.42M-46.85M
FCF Margin %-0%-0%-0.01%
FCF Growth %--0.03%-1.69%
FCF per Share-0.05-0.05-0.16
FCF Conversion (FCF/Net Income)-1.30x-1.94x6.96x
Interest Paid228.26M297.33M291.15M
Taxes Paid40.53M99.51M101.65M

Key Ratios

Metric202220232024
Return on Equity (ROE)-1.75%-2.99%0.62%
Return on Invested Capital (ROIC)4.43%5.68%6.61%
Gross Margin13.15%13.92%14.4%
Net Margin-0.51%-0.77%0.21%
Debt / Equity2.81x2.94x1.02x
Interest Coverage1.08x1.03x1.38x
FCF Conversion-1.30x-1.94x6.96x
Revenue Growth-9.95%14.77%

Frequently Asked Questions

Growth & Financials

StandardAero, Inc. (SARO) reported $5.87B in revenue for fiscal year 2024. This represents a 41% increase from $4.15B in 2022.

StandardAero, Inc. (SARO) grew revenue by 14.8% over the past year. This is steady growth.

Yes, StandardAero, Inc. (SARO) is profitable, generating $184.7M in net income for fiscal year 2024 (0.2% net margin).

Dividend & Returns

StandardAero, Inc. (SARO) has a return on equity (ROE) of 0.6%. This is below average, suggesting room for improvement.

StandardAero, Inc. (SARO) had negative free cash flow of $42.6M in fiscal year 2024, likely due to heavy capital investments.

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