TransDigm Group Incorporated logo TDG - TransDigm Group Incorporated

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 22
HOLD 17
SELL 0
STRONG
SELL
0
| PRICE TARGET: $1,569.30 DETAILS
HIGH: $1,871.00
LOW: $1,350.00
MEDIAN: $1,562.50
CONSENSUS: $1,569.30
UPSIDE: 29.32%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002
Revenue
Revenue 8,831 7,940 6,585 5,429 4,798 5,103 5,223.2 3,811.1 3,504.3 3,171.4 2,707.1 2,372.9 1,924.4 1,714.0 1,206.0 827.7 761.6 713.7 592.8 435.2 374.3 300.7 293.3 248.8
Cost of Revenue 3,520 3,268 2,743 2,330 2,285 2,456 2,540.6 1,692.7 1,604.9 1,512.5 1,305.4 1,152.1 909.6 798.7 585.2 369.7 346.1 339.8 296.1 220.1 196.2 156.1 0 0
Gross Profit 5,311 4,672 3,842 3,099 2,513 2,647 2,682.6 2,118.5 1,899.4 1,658.9 1,401.7 1,220.8 1,014.8 915.3 620.8 458.0 415.4 373.9 296.7 215.1 178.0 144.7 293.3 248.8
Operating Expenses
R&D Expenses 0 0 0 0 0 0 116.8 73.8 73.8 58.6 48.3 42.3 32.1 27.9 19.3 13.9 12.6 13.2 9.6 3.9 2.5 2.2 0 0
SG&A Expenses 921 931 770 748 685 727 552.2 368.7 335.3 298.3 254.6 229.5 214.3 173.8 114.4 81.0 67.4 61.5 53.3 44.4 36.4 29.0 25.4 24.0
Other Expenses 225 210 149 136 137 169 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Operating Expenses 1,146 1,141 919 884 822 896 669.0 442.5 409.1 356.9 302.9 271.8 246.4 201.7 133.7 94.9 80.0 74.7 62.9 48.3 38.9 31.2 25.4 24.0
Operating Income
Operating Income 4,165 3,531 2,923 2,215 1,691 1,751 2,013.7 1,676.0 1,490.3 1,302.1 1,098.8 948.9 768.5 713.6 487.1 363.1 335.4 299.3 233.8 166.8 139.1 113.5 (77.9) 84.0
Interest Expense 1,572 1,344 1,220 1,078 1,098 1,061 865.8 669.4 639.3 498.2 427.0 347.7 270.7 211.9 252.8 112.2 84.4 92.7 91.8 125.2 80.3 74.7 0 0
Interest Income 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Profitability
EBITDA 4,568 3,813 3,148 2,456 2,027 2,052 2,153.3 1,783.8 1,616.9 1,388.0 1,157.5 892.6 792.7 768.0 542.7 393.2 362.9 324.5 257.8 182.8 154.5 113.3 270.8 231.1
EBIT 4,201 3,501 2,880 2,203 1,774 1,769 1,928.7 1,655.0 1,476.7 1,266.4 1,063.8 796.2 719.2 699.8 482.2 363.1 335.4 299.3 233.8 166.7 137.6 95.0 267.9 224.8
Income Before Tax 2,629 2,215 1,716 1,127 715 740 1,062.9 985.6 837.4 768.1 636.8 448.5 448.5 487.9 229.4 250.8 251.0 206.6 142.1 41.4 57.3 20.3 (120.4) 47.4
Income Tax Expense 555 500 417 261 34 87 222.0 24.0 208.9 181.7 189.6 141.6 145.7 162.9 77.2 87.4 88.1 73.5 53.4 16.3 22.6 6.7 301.2 157.7
Net Income 2,074 1,714 1,298 866 680 699 778.7 907.8 437.6 583.4 443.8 180.3 131.5 321.7 147.3 133.1 162.9 133.1 88.6 25.1 34.7 13.6 (75.7) 30.6
Per Share Data
EPS (Basic) 32.08 25.62 22.03 13.40 10.39 8.27 13.84 16.33 7.88 10.39 7.84 3.16 2.39 5.97 2.76 2.52 3.10 2.78 1.94 0.57 117.40 46.11 -10.28 255.67
EPS (Diluted) 32.08 25.62 22.03 13.40 10.39 8.27 13.84 16.33 7.88 10.39 7.84 3.16 2.39 5.97 2.76 2.52 3.10 2.65 1.83 0.53 111.49 44.01 -10.28 221.95
Shares Outstanding 58.2 57.8 57.2 58.2 58.4 57.3 56.3 55.6 55.5 56.2 56.6 57.0 55.1 53.9 53.3 52.9 52.5 47.9 45.6 44.4 44.2 44.2 7.4 0.1
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002
Current Assets
Cash & Cash Equivalents 2,808 6,261 3,472 3,001 4,787 4,717 1,467.5 2,073.0 650.6 1,587.0 190.2 159.1 48.5 18.9 49.2
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0 0 50.6 0 0
Net Receivables 1,617 1,381 1,230 967 791 720 1,068 704.3 636.1 576.3 106.4 96.2 44.5 0 0
Inventory 2,095 1,876 1,616 1,332 1,185 1,283 1,232.6 805.3 730.7 724.0 167.8 144.1 64.4 0 0
Other Current Assets 492 511 420 0 0 0 962 0 77.5 0 18.7 19.9 10.4 (18.9) (49.2)
Total Current Assets 7,012 10,029 6,738 5,649 7,030 6,960 4,865.2 3,657.3 2,133.6 2,930.7 494.8 423.4 220.2 18.9 49.2
Non-Current Assets
Property, Plant & Equipment 1,579 1,488 1,255 807 770 752 757 388.3 324.9 310.6 96.8 96.2 60.8 0 0
Goodwill 10,612 10,419 8,988 8,641 8,568 7,889 7,820.1 6,223.3 5,745.3 5,679.5 1,462.3 1,354.8 0 0 0
Intangible Assets 3,454 3,446 2,747 2,750 2,791 2,610 2,743.8 1,788.4 1,717.9 1,764.3 372.9 356.2 1,041.1 0 0
Long-Term Investments 102 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 150 204 242 260 156 167 69 140.2 54.0 41.2 27.7 25.2 23.9 0 0
Total Non-Current Assets 15,897 15,557 13,232 12,458 12,285 11,435 11,390 8,540.2 7,842.1 7,795.6 1,959.7 1,832.4 1,125.7 0 0
Total Assets 22,909 25,586 19,970 18,107 19,315 18,395 16,254.7 12,197.5 9,975.7 10,726.3 2,454.4 2,255.8 1,345.9 1,315.4 402.2
Current Liabilities
Account Payables 368 323 305 279 227 218 276 173.6 148.8 156.1 44.7 25.1 11.5 0 0
Short-Term Debt 848 584 420 426 626 625 430 375.3 369.0 252.4 0 0 4.4 0 0
Deferred Revenue 143 168 79 45 25 18 0 0 0 0 0 0 0 0 0
Other Current Liabilities 464 520 449 412 499 451 597 200.4 191.5 183.5 0 0 0 0 0
Total Current Liabilities 2,182 6,339 1,579 1,426 1,663 1,616 1,538.8 900.4 871.0 752.6 99.8 88.5 40.8 0 0
Non-Current Liabilities
Long-Term Debt 29,167 24,296 19,330 19,369 19,372 19,384 16,469 12,501.9 11,393.6 9,943.2 1,356.8 1,357.2 889.8 895.0 409.0
Deferred Tax Liabilities 759 766 627 596 485 430 441 399.5 500.9 492.3 162.7 151.7 60.7 0 0
Other Non-Current Liabilities 480 468 412 482 705 933 691 204.1 161.3 189.7 16.0 4.5 57.2 (895.0) (409.0)
Total Non-Current Liabilities 30,406 25,530 20,369 20,447 20,562 20,747 17,601 13,105.6 12,055.9 10,625.2 1,535.5 1,513.4 1,007.7 0 0
Total Liabilities 32,588 31,869 21,948 21,873 22,225 22,363 19,139.8 14,005.9 12,926.9 11,377.8 1,635.3 1,601.9 1,048.5 1,031.8 409.0
Stockholders' Equity
Common Stock 1 1 1 1 1 1 0.6 0.6 0.6 0.6 0.5 0.5 0.0 0 0
Retained Earnings (10,606) (7,362) (2,621) (3,914) (3,705) (4,359) (3,120.0) (2,246.6) (3,187.2) (1,147.0) 450.6 287.7 7.9 0 0
Accumulated Other Comprehensive Income (10) (42) (98) (267) (248) (401) (379.0) 4.1 (85.1) (149.8) (5.5) 0.4 (0.3) 0 0
Total Stockholders' Equity (9,686) (6,290) (1,984) (3,773) (2,916) (3,972) (2,894.9) (1,808.5) (2,951.2) (651.5) 819.2 653.9 297.4 283.6 (77.2)
Total Liabilities & Equity 22,909 25,586 19,970 18,107 19,315 18,395 16,254.7 12,197.5 9,975.7 10,726.3 2,454.4 2,255.8 1,345.9 1,315.4 402.2
Debt Metrics
Total Debt 30,030 24,899 19,766 19,813 20,018 20,031 16,899 12,877.3 11,762.7 10,195.6 1,356.8 1,357.2 894.3 895.0 409.0
Net Debt 27,222 18,638 16,294 16,812 15,231 15,314 15,432 10,804.3 11,112.1 8,608.6 1,166.6 1,198.2 845.8 876.1 359.7
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002
Operating Activities
Net Income 2,074 1,715 1,299 867 681 700 891.3 957.1 596.9 586.4 34.7 13.6 (75.7) 30.6
Depreciation & Amortization 367 312 268 253 253 283 225.7 129.8 141.0 121.7 20.8 22.1 2.9 6.3
Stock-Based Compensation 157 217 157 153 129 93 93.4 58.5 45.5 48.3 0 0 0 0
Change in Working Capital (558) (302) (431) (260) (124) 135 (213.7) (4.6) (86.4) (110.9) (12.6) 22.3 0 0
Other Non-Cash Items 8 93 79 (43) (60) (22) 19.2 33.0 92.6 17.6 37.1 50.4 55.5 19.5
Operating Cash Flow 2,038 2,045 1,375 948 913 1,213 1,015.5 1,022.2 788.7 668.9 80.7 111.1 (17.3) 56.5
Investing Activities
Capital Expenditure (222) (165) (139) (119) (105) (105) (101.6) (73.3) (71.0) (44.0) (8.0) (5.4) (5.2) (3.8)
Acquisitions (419) (2,347) (762) (434) (704) 904 (3,976.2) (667.6) (216.0) (1,399.1) (63.2) (21.5) 0 0
Purchases of Investments 0 0 0 0 0 0 0 0 0 0 (65.4) (94.7) 0 0
Sales/Maturities of Investments 0 0 0 0 0 0 0 0 0 0 116.0 44.0 0 0
Other Investing Activities 46 71 1 0 24 0 188.8 57.4 0 0 0 0 (521.4) (1.6)
Investing Cash Flow (595) (2,441) (900) (553) (785) 799 (3,889.0) (683.6) (287.0) (1,443.0) (20.5) (77.6) (526.6) (5.4)
Financing Activities
Net Debt Issuance 5,073 4,835 (173) (275) (125) 3,072 3,902 1,095 1,524.1 1,816.7 (2.9) (2.2) 0 0
Stock Repurchased (500) 0 0 (912) (128) (19) 0 0 (389.8) (207.8) 0 (0.2) 0 0
Dividends Paid (9,629) (2,038) (38) (1,091) (73) (1,928) (1,712.2) (56.1) (2,581.6) (3) 0 0 0 0
Other Financing Activities 156 129 195 (2) 128 105 (0.3) (10.8) 3.6 40.9 (1.5) (1.5) 553.8 (13.0)
Financing Cash Flow (4,900) 3,171 (16) (2,148) (70) 1,230 2,271.4 1,085.6 (1,443.7) 1,646.8 (4.4) (3.9) 553.8 (13.0)
Cash Position
Net Change in Cash (3,453) 2,789 471 (1,786) 70 3,250 (605.5) 1,422.5 (936.4) 873.0 55.7 29.6 553.8 (13.0)
Cash at Beginning 6,261 3,472 3,001 4,787 4,717 1,467 2,073.0 650.6 1,587.0 714.0 48.5 18.9 0 0
Cash at End 2,808 6,261 3,472 3,001 4,787 4,717 1,467.5 2,073.0 650.6 1,587.0 104.2 48.5 553.8 (13.0)
Free Cash Flow 1,816 1,880 1,236 829 808 1,108 913.9 948.8 717.7 624.9 72.7 105.7 (22.5) 52.6
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002
Income Statement
Revenue 8,831 7,940 6,585 5,429 4,798 5,103 5,223.2 3,811.1 3,504.3 3,171.4 2,707.1 2,372.9 1,924.4 1,714.0 1,206.0 827.7 761.6 713.7 592.8 435.2 374.3 300.7 293.3 248.8
Gross Profit 5,311 4,672 3,842 3,099 2,513 2,647 2,682.6 2,118.5 1,899.4 1,658.9 1,401.7 1,220.8 1,014.8 915.3 620.8 458.0 415.4 373.9 296.7 215.1 178.0 144.7 293.3 248.8
Operating Income 4,165 3,531 2,923 2,215 1,691 1,751 2,013.7 1,676.0 1,490.3 1,302.1 1,098.8 948.9 768.5 713.6 487.1 363.1 335.4 299.3 233.8 166.8 139.1 113.5 (77.9) 84.0
Net Income 2,074 1,714 1,298 866 680 699 778.7 907.8 437.6 583.4 443.8 180.3 131.5 321.7 147.3 133.1 162.9 133.1 88.6 25.1 34.7 13.6 (75.7) 30.6
EPS (Diluted) 32.08 25.62 22.03 13.40 10.39 8.27 13.84 16.33 7.88 10.39 7.84 3.16 2.39 5.97 2.76 2.52 3.10 2.65 1.83 0.53 111.49 44.01 -10.28 221.95
Balance Sheet
Cash & Equivalents 2,808 6,261 3,472 3,001 4,787 4,717 1,467.5 2,073.0 650.6 1,587.0 190.2 159.1 48.5 18.9 49.2
Total Assets 22,909 25,586 19,970 18,107 19,315 18,395 16,254.7 12,197.5 9,975.7 10,726.3 2,454.4 2,255.8 1,345.9 1,315.4 402.2
Total Debt 30,030 24,899 19,766 19,813 20,018 20,031 16,899 12,877.3 11,762.7 10,195.6 1,356.8 1,357.2 894.3 895.0 409.0
Stockholders' Equity (9,686) (6,290) (1,984) (3,773) (2,916) (3,972) (2,894.9) (1,808.5) (2,951.2) (651.5) 819.2 653.9 297.4 283.6 (77.2)
Cash Flow
Operating Cash Flow 2,038 2,045 1,375 948 913 1,213 1,015.5 1,022.2 788.7 668.9 80.7 111.1 (17.3) 56.5
Capital Expenditure (222) (165) (139) (119) (105) (105) (101.6) (73.3) (71.0) (44.0) (8.0) (5.4) (5.2) (3.8)
Free Cash Flow 1,816 1,880 1,236 829 808 1,108 913.9 948.8 717.7 624.9 72.7 105.7 (22.5) 52.6