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Side-by-side financial comparison of Chemours Co (CC) and StandardAero, Inc. (SARO). Click either name above to swap in a different company.

StandardAero, Inc. is the larger business by last-quarter revenue ($1.6B vs $1.3B, roughly 1.2× Chemours Co). StandardAero, Inc. runs the higher net margin — 4.9% vs -3.5%, a 8.4% gap on every dollar of revenue. On growth, StandardAero, Inc. posted the faster year-over-year revenue change (13.5% vs -2.1%). StandardAero, Inc. produced more free cash flow last quarter ($307.3M vs $92.0M). Over the past eight quarters, StandardAero, Inc.'s revenue compounded faster (13.8% CAGR vs -1.2%).

The Chemours Company is an American chemical company that was founded in July 2015 as a spin-off from DuPont. It has its corporate headquarters in Wilmington, Delaware, United States. Chemours is the manufacturer of Teflon, the brand name of polytetrafluoroethylene (PTFE), known for its anti-stick properties. It also produces titanium dioxide and refrigerant gases.

StandardAero, Inc. is an American maintenance, repair and overhaul (MRO) provider based in Scottsdale, Arizona.

CC vs SARO — Head-to-Head

Bigger by revenue
SARO
SARO
1.2× larger
SARO
$1.6B
$1.3B
CC
Growing faster (revenue YoY)
SARO
SARO
+15.6% gap
SARO
13.5%
-2.1%
CC
Higher net margin
SARO
SARO
8.4% more per $
SARO
4.9%
-3.5%
CC
More free cash flow
SARO
SARO
$215.3M more FCF
SARO
$307.3M
$92.0M
CC
Faster 2-yr revenue CAGR
SARO
SARO
Annualised
SARO
13.8%
-1.2%
CC

Income Statement — Q4 FY2025 vs Q4 FY2025

Metric
CC
CC
SARO
SARO
Revenue
$1.3B
$1.6B
Net Profit
$-47.0M
$78.6M
Gross Margin
11.7%
13.8%
Operating Margin
9.3%
Net Margin
-3.5%
4.9%
Revenue YoY
-2.1%
13.5%
Net Profit YoY
-261.5%
659.6%
EPS (diluted)
$-0.32
$0.24

Green = leading value per metric. Periods may differ when fiscal calendars don't align.

8-Quarter Revenue & Profit Trend

Side-by-side quarterly history. Quarters aligned by calendar period so offset fiscal years line up.

Revenue
CC
CC
SARO
SARO
Q4 25
$1.3B
$1.6B
Q3 25
$1.5B
$1.5B
Q2 25
$1.6B
$1.5B
Q1 25
$1.4B
$1.4B
Q4 24
$1.4B
$1.4B
Q3 24
$1.5B
$1.2B
Q2 24
$1.6B
$1.3B
Q1 24
$1.4B
$1.2B
Net Profit
CC
CC
SARO
SARO
Q4 25
$-47.0M
$78.6M
Q3 25
$46.0M
$68.1M
Q2 25
$-380.0M
$67.7M
Q1 25
$-5.0M
$62.9M
Q4 24
$-13.0M
$-14.1M
Q3 24
$-32.0M
$16.4M
Q2 24
$60.0M
$5.4M
Q1 24
$54.0M
$3.2M
Gross Margin
CC
CC
SARO
SARO
Q4 25
11.7%
13.8%
Q3 25
15.6%
14.9%
Q2 25
17.2%
15.4%
Q1 25
17.3%
15.2%
Q4 24
19.4%
14.3%
Q3 24
19.0%
15.0%
Q2 24
19.8%
13.7%
Q1 24
20.9%
14.7%
Operating Margin
CC
CC
SARO
SARO
Q4 25
9.3%
Q3 25
2.5%
9.2%
Q2 25
-15.4%
8.9%
Q1 25
9.0%
Q4 24
-0.1%
6.7%
Q3 24
-2.1%
7.9%
Q2 24
4.4%
7.8%
Q1 24
5.1%
8.5%
Net Margin
CC
CC
SARO
SARO
Q4 25
-3.5%
4.9%
Q3 25
3.1%
4.5%
Q2 25
-23.5%
4.4%
Q1 25
-0.4%
4.4%
Q4 24
-1.0%
-1.0%
Q3 24
-2.1%
1.3%
Q2 24
3.9%
0.4%
Q1 24
4.0%
0.3%
EPS (diluted)
CC
CC
SARO
SARO
Q4 25
$-0.32
$0.24
Q3 25
$0.31
$0.20
Q2 25
$-2.53
$0.20
Q1 25
$-0.03
$0.19
Q4 24
$-0.07
$-0.05
Q3 24
$-0.22
$0.06
Q2 24
$0.39
$0.02
Q1 24
$0.36
$0.01

Balance Sheet & Financial Strength

Snapshot of each company's liquidity, leverage and book value from the latest quarter.

Metric
CC
CC
SARO
SARO
Cash + ST InvestmentsLiquidity on hand
$670.0M
Total DebtLower is stronger
$4.1B
$2.2B
Stockholders' EquityBook value
$250.0M
$2.7B
Total Assets
$7.4B
$6.6B
Debt / EquityLower = less leverage
16.40×
0.83×

8-quarter trend — quarters aligned by calendar period.

Cash + ST Investments
CC
CC
SARO
SARO
Q4 25
$670.0M
Q3 25
$613.0M
Q2 25
$502.0M
Q1 25
$464.0M
Q4 24
$713.0M
Q3 24
$596.0M
Q2 24
$604.0M
Q1 24
$746.0M
Total Debt
CC
CC
SARO
SARO
Q4 25
$4.1B
$2.2B
Q3 25
$4.1B
$2.3B
Q2 25
$4.1B
$2.3B
Q1 25
$4.1B
$2.3B
Q4 24
$4.1B
$2.2B
Q3 24
$4.0B
$3.4B
Q2 24
$4.0B
Q1 24
$4.0B
Stockholders' Equity
CC
CC
SARO
SARO
Q4 25
$250.0M
$2.7B
Q3 25
$274.0M
$2.6B
Q2 25
$228.0M
$2.5B
Q1 25
$566.0M
$2.4B
Q4 24
$571.0M
$2.4B
Q3 24
$643.0M
$1.2B
Q2 24
$714.0M
$1.2B
Q1 24
$753.0M
$1.2B
Total Assets
CC
CC
SARO
SARO
Q4 25
$7.4B
$6.6B
Q3 25
$7.5B
$6.6B
Q2 25
$7.5B
$6.5B
Q1 25
$7.4B
$6.5B
Q4 24
$7.5B
$6.2B
Q3 24
$7.5B
$6.1B
Q2 24
$7.2B
Q1 24
$8.0B
Debt / Equity
CC
CC
SARO
SARO
Q4 25
16.40×
0.83×
Q3 25
14.96×
0.90×
Q2 25
17.99×
0.92×
Q1 25
7.18×
0.96×
Q4 24
7.11×
0.94×
Q3 24
6.20×
2.94×
Q2 24
5.53×
Q1 24
5.27×

Cash Flow & Capital Efficiency

How much cash each business actually produces after reinvestment. Cash flow is harder to manipulate than net income.

Metric
CC
CC
SARO
SARO
Operating Cash FlowLast quarter
$137.0M
$323.0M
Free Cash FlowOCF − Capex
$92.0M
$307.3M
FCF MarginFCF / Revenue
6.9%
19.2%
Capex IntensityCapex / Revenue
3.4%
1.0%
Cash ConversionOCF / Net Profit
4.11×
TTM Free Cash FlowTrailing 4 quarters
$51.0M
$234.3M

8-quarter trend — quarters aligned by calendar period.

Operating Cash Flow
CC
CC
SARO
SARO
Q4 25
$137.0M
$323.0M
Q3 25
$146.0M
$14.8M
Q2 25
$93.0M
$2.9M
Q1 25
$-112.0M
$-24.0M
Q4 24
$138.0M
Q3 24
$139.0M
$-13.9M
Q2 24
$-620.0M
Q1 24
$-290.0M
$-83.6M
Free Cash Flow
CC
CC
SARO
SARO
Q4 25
$92.0M
$307.3M
Q3 25
$105.0M
$-4.7M
Q2 25
$50.0M
$-19.0M
Q1 25
$-196.0M
$-49.3M
Q4 24
$29.0M
Q3 24
$63.0M
$-39.2M
Q2 24
$-693.0M
Q1 24
$-392.0M
$-102.0M
FCF Margin
CC
CC
SARO
SARO
Q4 25
6.9%
19.2%
Q3 25
7.0%
-0.3%
Q2 25
3.1%
-1.2%
Q1 25
-14.3%
-3.4%
Q4 24
2.1%
Q3 24
4.2%
-3.1%
Q2 24
-44.6%
Q1 24
-28.8%
-8.3%
Capex Intensity
CC
CC
SARO
SARO
Q4 25
3.4%
1.0%
Q3 25
2.7%
1.3%
Q2 25
2.7%
1.4%
Q1 25
6.1%
1.8%
Q4 24
8.0%
Q3 24
5.0%
2.0%
Q2 24
4.7%
Q1 24
7.5%
1.5%
Cash Conversion
CC
CC
SARO
SARO
Q4 25
4.11×
Q3 25
3.17×
0.22×
Q2 25
0.04×
Q1 25
-0.38×
Q4 24
Q3 24
-0.84×
Q2 24
-10.33×
Q1 24
-5.37×
-26.22×

Financial Flow Comparison

Revenue → gross profit → operating profit → net profit for each company.

Revenue Breakdown by Segment

CC
CC

Titanium Technologies$563.0M42%
Thermal And Specialized Solutions$443.0M33%
Advanced Performance Materials$312.0M23%
Other Non-Reportable Segment$12.0M1%

SARO
SARO

Commercial Aerospace$1.0B63%
Business Aviation$266.2M17%
Military And Helicopter$262.0M16%
Other$68.1M4%

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