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October 23, 2025
Transdigm Aerospace & Defense
Financial Summary
2022 2023 1Q24 2Q24 3Q24 4Q24 2024 1Q25 2Q25 3Q25 LTM
OPERATING METRICS nan nan nan nan nan nan nan nan nan nan nan
Overall Organic Growth 14.4% 18.1% 23.5% 16.1% 14.6% 12.2% 16.2% 6.6% 6.9% 6.3%
Commercial OEM Organic Growth 23.8% 23.1% 17.4% 24.4% 23.2% 13.0% 20.4% -4.2% -0.2% -7.0%
Commercial Aftermarket Organic Growth 44.8% 31.4% 21.7% 5.4% 11.1% 8.0% 12.0% 12.7% 13.3% 0.3%
Defense Organic Growth -2.2% 10.4% 24.5% 12.7% 13.3% 16.0% 18.9% 7.6% 9.5% 10.1%
INCOME STATEMENT nan nan nan nan nan nan nan nan nan nan nan
Revenue $5,429 $6,585 $1,789 $1,919 $2,046 $2,186 $7,940 $2,006 $2,150 $2,237 $8,579
COGS 2,330 2,743 747 767 826 928 3,268 771 876 905 3,480
Gross Profit 3,099 3,842 1,042 1,152 1,220 1,258 4,672 1,235 1,274 1,332 5,099
SG&A 748 780 220 248 248 264 980 211 236 242 953
Other Opex 136 139 35 37 38 51 161 50 47 51 199
Operating Income 2,215 2,923 787 867 934 943 3,531 974 991 1,039 3,947
D&A 251 277 78 73 83 104 338 87 88 95 374
EBITDA $2,466 $3,200 $865 $940 $1,017 $1,047 $3,869 $1,061 $1,079 $1,134 $4,321
Adjustments 180 195 47 81 74 102 304 0 83 83 268
Adj. EBITDA $2,646 $3,395 $912 $1,021 $1,091 $1,149 $4,173 $1,061 $1,162 $1,217 $4,589
Interest 1,076 1,164 300 326 316 344 1,286 378 378 397 1,497
FREE CASH FLOW
Change in NWC -291 -431 111 -326 -3 -84 -302 188 -477 -37 -410
All Other CFO 1,239 1,806 525 555 611 656 2,347 564 625 668 2,513
CF From Ops 948 1,375 636 229 608 572 2,045 752 148 631 2,103
Capex -119 -139 -36 -48 -40 -41 -165 -42 -56 -58 -197
Free Cash Flow 829 1,236 600 181 568 531 1,880 710 92 573 1,906
Dividends & Share Repurchases -2,003 -38 -2,038 0 0 0 -2,038 -4,712 -53 -131 -4,896
Cash Flow -1,174 1,198 -1,438 181 568 531 -158 -4,002 39 442 -2,990
GROWTH nan nan nan nan nan nan nan nan nan nan nan
Sales Growth 13.2% 21.3% 28.1% 20.5% 17.3% 18.0% 263.2% 12.1% 12.0% 9.3% 12.8%
Adj. EBITDA Growth 20.9% 28.3% 30.5% 25.0% 19.2% 19.3% 263.2% 16.3% 13.8% 11.5% 15.1%
MARGINS nan nan nan nan nan nan nan nan nan nan nan
Gross Margin % 57.1% 58.3% 58.2% 60.0% 59.6% 57.5% 58.8% 61.6% 59.3% 59.5% 59.4%
Adj. EBITDA Margin % 48.7% 51.6% 51.0% 53.2% 53.3% 52.6% 52.6% 52.9% 54.0% 54.4% 53.5%
COVERAGE nan nan nan nan nan nan nan nan nan nan nan
LTM EBITDA / LTM Interest 2.5x 2.9x 3.1x 3.2x 3.2x 3.2x 3.2x 3.2x 3.2x 3.1x 3.1x
BALANCE SHEET nan nan nan nan nan nan nan nan nan nan nan
Cash 3,001 3,472 4,135 4,288 3,360 6,261 6,261 2,459 2,426 2,792 2,792
Total Debt $19,445 $19,401 $21,517 $21,956 $21,442 $24,394 $24,394 $24,400 $24,400 $24,362 $24,362
LEVERAGE nan nan nan nan nan nan nan nan nan nan nan
Total Leverage 7.3x 5.7x 6.0x 5.8x 5.4x 5.8x 5.8x 5.6x 5.5x 5.3x 5.3x
Net Leverage 6.2x 4.7x 4.8x 4.6x 4.5x 4.3x 4.3x 5.1x 4.9x 4.7x 4.7x
Cap Table

As of: 06/30/2025

Instrument Balance Total Leverage
Term Loans $8,659
Secured Notes due 2028 $2,100
Secured Notes due 2029 $2,750
Secured Notes due 2030 $1,450
Secured Notes due 2031 $1,000
Secured Notes due 2032 $2,200
Secured Notes due 2033 $1,500
Finance Leases $279
Total Secured Debt $19,938 4.3x
4.625% Senior Sub. Notes due 2029 $1,200
4.875% Senior Sub. Notes due 2029 $750
Senior Sub. Notes due 2033 $2,650
Government Refundable Advances $12
Total Debt $24,550 5.3x
Total Traded Bonds 15,600
Total Traded Loans 8,659
Total Traded Debt 24,259
Vital Signs
  • Leverage: 5.3x
  • Free Cash Flow: 1,906
Company Info

Website: http://transdigm.com/investor-relations/

Industry
  • Aerospace & Defense
Key Drivers
  • TBD
  • TBD
  • TBD
Customers
  • TBD
  • TBD
  • TBD
Notes

TBD;TBD;TBD