StandardAero, Inc. Financial Summary

Complete Filing Data

StandardAero, Inc. reported Stockholders Equity of $2.67 billion for FY2025.

All values from 10-K, 20-F, and 10-Q filings on SEC EDGAR, organized by financial statement. Scroll each table horizontally for the full history. Blank cells mean StandardAero, Inc. did not report that metric for that period in XBRL — often because accounting standards changed which tag a company files under (for example, most companies moved revenue to the ASC-606 tag in 2018), so a metric may continue in a different row. Rows marked * merge those successor tags into one continuous series, preferring the audited value from the newest-standard tag where periods overlap.

Income Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Net Income *$277.4M$11.0M-$35.1M-$21.0M
Other Comprehensive Income Loss Net Of Tax Portion Attributable To Parent$3.3M-$4.5M-$17.3M-$2.7M
Unrealized Gain Loss On Interest Rate Cash Flow Hedges Pretax Accumulated Other Comprehensive Income Loss12,400,000.0%324,200,000.0%95,700,000.0%1,932,900,000.0%
Selling General And Administrative Expense$247.7M$254.1M$202.8M$188.1M
Revenue From Contract With Customer Excluding Assessed Tax$6.06B$5.24B$4.56B$4.15B
Other Comprehensive Income Loss Unrealized Income On Cash Flow Hedge Tax$201.0K$1.0M$885.0K$5.6M
Other Comprehensive Income Loss Net Of Tax$3.3M-$4.5M-$17.3M-$2.7M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss Reclassification Tax-$1.2M$2.4M$4.5M-$1.6M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax Parent$4.3M-$7.6M-$14.0M$6.1M
Operating Income Loss$551.1M$403.2M$337.4M$262.6M
Interest Expense$174.2M$282.5M$309.6M$243.0M
Income Tax Expense Benefit$99.4M$70.8M$40.2M$43.0M
Income Loss From Continuing Operations Before Income Taxes Extraordinary Items Noncontrolling Interest$376.9M$81.8M$5.1M$22.0M
Cost Of Revenue$5.17B$4.48B$3.93B$3.60B
Comprehensive Income Net Of Tax$280.7M$6.5M-$52.3M-$23.7M
Amortization Of Intangible Assets$98.7M$95.5M$93.7M$93.7M
Other Comprehensive Income Foreign Currency Transaction And Translation Gain Loss Arising During Period Net Of Tax-$367.0K$383.0K-$308.0K
Deferred Income Tax Expense Benefit-$15.8M-$22.5M-$19.8M-$26.5M
Income Taxes Receivable$10.2M$10.0M$11.0M
Deferred Income Tax Assets Net$2.8M$1.1M$4.7M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Net Income *$68.1M$67.7M$62.9M$16.4M$5.4M$3.2M-$17.9M-$838.0K-$11.7M
Other Comprehensive Income Loss Net Of Tax Portion Attributable To Parent-$597.0K$3.8M-$424.0K-$11.4M$730.0K$2.8M-$1.0M$12.4M-$5.5M
Unrealized Gain Loss On Interest Rate Cash Flow Hedges Pretax Accumulated Other Comprehensive Income Loss-155,500,000.0%263,400,000.0%-200,600,000.0%-995,400,000.0%267,400,000.0%759,100,000.0%323,100,000.0%
Selling General And Administrative Expense$60.9M$76.0M$64.5M$62.9M$56.2M$52.6M$53.0M
Revenue From Contract With Customer Excluding Assessed Tax$1.50B$1.53B$1.44B$1.24B$1.35B$1.24B$1.10B
Other Comprehensive Income Loss Unrealized Income On Cash Flow Hedge Tax-$557.0K$992.0K$628.0K-$2.6M$737.0K-$2.0M-$1.3M
Other Comprehensive Income Loss Net Of Tax-$597.0K$3.8M-$424.0K-$11.4M$730.0K$2.8M-$1.0M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss Reclassification Tax-$259.0K$330.0K-$496.0K$532.0K-$508.0K$1.2M$1.5M
Other Comprehensive Income Loss Cash Flow Hedge Gain Loss After Reclassification And Tax Parent$958.0K$1.1M$1.6M-$1.9M-$1.9M-$4.6M-$4.0M
Operating Income Loss$137.3M$135.6M$128.9M$98.0M$105.1M$105.5M$74.8M
Interest Expense$44.6M$43.8M$43.8M$79.9M$78.1M$77.5M$79.2M
Income Tax Expense Benefit$24.7M$24.0M$22.2M$211.0K$21.0M$16.9M-$12.6M
Income Loss From Continuing Operations Before Income Taxes Extraordinary Items Noncontrolling Interest$92.8M$91.7M$85.1M$16.6M$26.4M$20.1M-$30.5M
Cost Of Revenue$1.27B$1.29B$1.22B$1.06B$1.16B$1.05B$948.0M
Comprehensive Income Net Of Tax$67.5M$71.5M$62.5M$5.0M$6.1M$6.0M-$19.0M
Amortization Of Intangible Assets$24.9M$24.6M$24.3M$24.0M$23.3M$23.3M$23.6M
Other Comprehensive Income Foreign Currency Transaction And Translation Gain Loss Arising During Period Net Of Tax$475.0K-$88.0K-$234.0K-$279.0K
Deferred Income Tax Expense Benefit-$5.8M-$3.4M
Income Taxes Receivable$28.0M$21.1M$21.1M$42.3M
Deferred Income Tax Assets Net$1.1M$1.1M$1.1M$4.7M

Balance Sheet

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022FY2021
Stockholders Equity$2.67B$2.37B$1.15B$1.20B$1.22B
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents$289.7M$102.6M$58.0M$120.1M$183.2M
Goodwill$1.68B$1.69B$1.63B$1.61B
Gains Losses On Extinguishment Of Debt$0.00-$15.3M-$6.2M$0.00
Repayments Of Long Term Debt$738.4M$4.24B$1.49B$169.3M
Non Cash Lease Expense$2.9M$1.6M$1.4M$973.0K
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect$187.1M$44.6M-$62.1M-$63.1M
Gain Loss On Disposition Of Assets1-$2.8M-$482.0K$14.0K$202.0K
Retained Earnings Accumulated Deficit-$1.29B-$1.56B-$1.57B
Property Plant And Equipment Net$580.0M$568.6M$522.2M
Prepaid Expenses And Other Current Assets$42.8M$29.7M$39.1M
Other Liabilities Noncurrent$7.3M$24.6M$26.2M
Other Intangible Assets Net$244.9M$291.5M$285.0M
Operating Lease Right Of Use Asset$222.2M$172.2M$168.5M
Operating Lease Liability Noncurrent$212.4M$164.2M$159.5M
Operating Lease Liability Current$22.3M$17.7M$17.0M
Long Term Debt Noncurrent$2.19B$2.21B$3.17B
Long Term Debt Current$23.4M$23.4M$26.7M
Liabilities Current$1.32B$1.27B$1.07B
Liabilities And Stockholders Equity$6.56B$6.21B$5.76B
Liabilities$3.89B$3.84B$4.61B
Inventory Net$827.7M$847.0M$698.8M
Contract With Customer Liability Current$411.3M$400.0M$355.7M
Common Stock Value$3.3M$3.3M$2.8M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023Q2 2023Q1 2023
Stockholders Equity$2.58B$2.51B$2.44B$1.16B$1.16B$1.15B$1.17B$1.19B$1.18B
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents$97.5M$91.5M$140.8M$51.3M$60.3M$34.2M$71.2M
Goodwill$1.68B$1.68B$1.69B$1.69B$1.63B$1.63B$1.63B
Gains Losses On Extinguishment Of Debt$0.00$0.00$0.00-$3.6M-$6.2M
Repayments Of Long Term Debt$91.0M$308.3M
Non Cash Lease Expense$199.0K$235.0K
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents Period Increase Decrease Including Exchange Rate Effect$38.2M-$23.8M
Gain Loss On Disposition Of Assets1$195.0K
Retained Earnings Accumulated Deficit-$1.36B-$1.43B-$1.50B-$1.55B
Property Plant And Equipment Net$579.7M$575.6M$578.3M$552.0M
Prepaid Expenses And Other Current Assets$50.3M$56.8M$52.0M$44.2M
Other Liabilities Noncurrent$18.6M$20.9M$22.8M$28.8M
Other Intangible Assets Net$256.5M$268.3M$279.9M$252.3M
Operating Lease Right Of Use Asset$221.1M$217.7M$168.9M$179.7M
Operating Lease Liability Noncurrent$211.4M$208.4M$161.8M$170.4M
Operating Lease Liability Current$20.6M$19.8M$17.0M$18.8M
Long Term Debt Noncurrent$2.31B$2.30B$2.31B$3.39B
Long Term Debt Current$23.5M$23.5M$23.5M$30.6M
Liabilities Current$1.36B$1.29B$1.40B$1.12B
Liabilities And Stockholders Equity$6.65B$6.48B$6.50B$6.06B
Liabilities$4.06B$3.97B$4.06B$4.90B
Inventory Net$956.7M$851.6M$875.8M$778.4M
Contract With Customer Liability Current$428.7M$420.2M$407.3M$322.3M
Common Stock Value$3.3M$3.3M$3.3M$2.8M

Cash Flow Statement

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Depreciation Depletion And Amortization$193.7M$187.1M$197.1M$195.2M
Proceeds From Sale Of Productive Assets$5.1M$1.8M$3.5M$3.4M
Proceeds From Issuance Of Long Term Debt$715.0M$3.25B$1.48B$145.0M
Payments To Acquire Intangible Assets$30.4M$20.3M$30.2M$3.0M
Net Cash Provided By Used In Operating Activities$316.7M$76.3M$67.9M$27.3M
Net Cash Provided By Used In Investing Activities-$106.4M-$235.4M-$112.9M-$60.8M
Net Cash Provided By Used In Financing Activities-$25.5M$203.8M-$14.7M-$25.8M
Increase Decrease In Prepaid Expenses Other$15.8M-$5.2M-$26.3M$26.8M
Increase Decrease In Inventories-$19.3M$138.0M$91.2M$53.1M
Increase Decrease In Income Taxes Payable Net Of Income Taxes Receivable$12.4M-$9.7M-$34.3M$18.1M
Increase Decrease In Contract With Customer Liability$11.3M$43.2M$137.4M$4.4M
Increase Decrease In Contract With Customer Asset$156.5M$92.4M$130.1M$79.7M
Increase Decrease In Accounts Receivable$73.7M$58.3M-$18.7M$102.0M
Increase Decrease In Accounts Payable Accrued Expenses And Other Current Liabilities$41.4M$104.4M-$25.7M$95.1M
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents$2.3M-$41.0K-$2.4M-$3.8M
Increase Decrease In Due To From Related Parties Current-$907.0K$1.5M-$276.0K
Payments To Acquire Property Plant And Equipment$82.4M$102.9M$55.1M$41.2M
Share Based Compensation$13.2M$17.4M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ1 2025Q3 2024Q1 2024Q3 2023
Depreciation Depletion And Amortization$48.7M$47.1M$47.4M$49.3M
Proceeds From Sale Of Productive Assets$268.0K$533.0K
Proceeds From Issuance Of Long Term Debt$195.0M$388.0M
Payments To Acquire Intangible Assets$15.0M$54.0K
Net Cash Provided By Used In Operating Activities-$24.0M-$83.6M
Net Cash Provided By Used In Investing Activities-$40.1M-$18.0M
Net Cash Provided By Used In Financing Activities$102.4M$77.5M
Increase Decrease In Prepaid Expenses Other$22.9M$11.5M
Increase Decrease In Inventories$28.8M$58.0M
Increase Decrease In Income Taxes Payable Net Of Income Taxes Receivable-$6.4M$6.2M
Increase Decrease In Contract With Customer Liability$7.3M-$104.7M
Increase Decrease In Contract With Customer Asset$56.4M-$35.6M
Increase Decrease In Accounts Receivable$152.6M$66.0M
Increase Decrease In Accounts Payable Accrued Expenses And Other Current Liabilities$126.5M$60.3M
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents-$141.0K$235.0K
Increase Decrease In Due To From Related Parties Current-$649.0K$1.2M
Payments To Acquire Property Plant And Equipment$25.3M$18.5M
Share Based Compensation$2.0M

Per-Share & Share Counts

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Earnings Per Share Diluted$0.83$0.04$-0.13$-0.08
Weighted Average Number Of Shares Outstanding Basic328.4M288.4M275.2M275.2M
Weighted Average Number Of Diluted Shares Outstanding334.3M289.8M275.2M275.2M
Earnings Per Share Basic$0.84$0.04$-0.13$-0.08
Common Stock Shares Authorized3.50B3.50B3.50B
Common Stock Par Or Stated Value Per Share$0.01$0.01$0.01
Common Stock Shares Outstanding334.3M334.5M281.2M
Common Stock Shares Issued334.5M334.5M281.2M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023
Earnings Per Share Diluted$0.20$0.20$0.19$0.06$0.02$0.02$-0.06
Weighted Average Number Of Shares Outstanding Basic328.5M328.4M328.4M275.2M275.2M275.2M281.21B
Weighted Average Number Of Diluted Shares Outstanding334.4M334.3M334.2M275.2M275.2M275.2M281.21B
Earnings Per Share Basic$0.21$0.21$0.19$0.06$0.02$0.01$-0.06
Common Stock Shares Authorized3.50B3.50B3.50B
Common Stock Par Or Stated Value Per Share$0.01$0.01$0.01$0.01
Common Stock Shares Outstanding334.5M334.5M334.5M281.2M
Common Stock Shares Issued334.5M334.5M334.5M281.2M

Other Metrics

Annual (10-K / 20-F)

Metric \ Fiscal YearFY2025FY2024FY2023FY2022
Refinancing Costs$0.00$23.7M$19.9M$0.00
Repayments Of Long Term Lines Of Credit$2.1M$1.3M$3.0M$1.5M
Payment Of Interest Rate Cap Premiums1,009,700,000.0%1,021,100,000.0%594,800,000.0%23,500,000.0%
Foreign Currency Transaction Gain Loss Before Tax$1.3M$1.4M-$3.2M-$2.9M
Business Combination Acquisition Related Costs$0.00$1.4M$1.5M$1.3M
Amortization Of Interest Cap Premiums$9.9M$10.2M$6.3M$27.0K
Amortization Of Financing Costs And Discounts$6.5M$11.9M$15.3M$16.2M
Customer Relationships Net$920.4M$1.00B$1.01B
Contract With Customer Asset Net Current$1.07B$915.2M$810.4M

Quarterly (10-Q, single quarters)

Metric \ QuarterQ3 2025Q2 2025Q1 2025Q3 2024Q2 2024Q1 2024Q3 2023
Refinancing Costs$0.00$0.00$1.5M$655.0K$4.3M$19.9M
Repayments Of Long Term Lines Of Credit$1.6M$1.8M
Payment Of Interest Rate Cap Premiums274,700,000.0%172,600,000.0%
Foreign Currency Transaction Gain Loss Before Tax-$292.0K$842.0K
Business Combination Acquisition Related Costs$0.00$1.3M$9.0K
Amortization Of Interest Cap Premiums$2.7M$1.8M
Amortization Of Financing Costs And Discounts$1.7M$3.5M
Customer Relationships Net$941.7M$962.9M$983.9M$1.03B
Contract With Customer Asset Net Current$1.13B$1.07B$971.6M$821.1M

Most recent annual filing with the SEC: February 26, 2026

Data sourced from SEC EDGAR public filings as of August 10, 2026.