SARO

StandardAero, Inc. Industrials - Aerospace MRO Investor Relations →

YES
0.2% BELOW
↑ Moving away Was -3.2% last week
-15% -10% -5% 0% 5% 10% 15%+
Buy Threshold $27.81
14-Week RSI 56
Rel. Volume (14w) This week's trading vs. the 14-week average 1.1x
Buyers vs. Sellers (14w) Are up-weeks or down-weeks getting more volume? 0.95

StandardAero, Inc. (SARO) closed at $27.75 as of 2026-06-19, trading 0.2% below its 200-week moving average of $27.81. This places SARO in the below line zone. The stock moved further from the line this week, up from -3.2% last week. The 14-week RSI sits at 56, indicating neutral momentum.

Trading volume is running at 1.1x of its 14-week average, which is in the normal range. The balance between buying and selling volume (0.95 ratio) is neutral — neither side is clearly dominating.

Over the past 41 weeks of data, SARO has crossed below its 200-week moving average 3 times. On average, these episodes lasted 9 weeks.

With a market cap of $9.2 billion, SARO is a mid-cap stock. The company generates a free cash flow yield of 1.0%. Return on equity stands at 11.5%. The stock trades at 3.4x book value.

In the past 12 months, corporate insiders have made 1 open-market purchase totaling $983,606. Notably, these purchases occurred while SARO is trading below its 200-week moving average — insiders are buying when the market is most pessimistic.

Free cash flow has been declining. A deteriorating cash flow trend warrants extra scrutiny — the stock may be cheap for a reason.

Business Health

Annual financials — how the underlying business has performed over the past several years.

Cash Flow Free cash flow & net income ($M)

Revenue Annual revenue ($M) — business growth proxy

Total Debt Balance sheet debt ($M)

ROIC Return on invested capital (%)

FCF Yield Free cash flow / market cap (%) — Yartseva signal

Gross Margin Pricing power & competitive moat (%)

Shares Outstanding Buybacks vs dilution (millions)

Bean Score Experimental

The Bean Score measures how far a stock's free cash flow yield has deviated from its own quarterly baseline, normalized by the stock's historical behavior. Between earnings dates, FCF is constant — so the score is purely a function of stock price. The levels below show at what prices SARO would reach each dislocation threshold.

Current Bean Score +0.10σ
Current FCF Yield 1.56%
Baseline Yield 1.52%
Historical σ 0.16pp

Dislocation Price Levels

Prices where SARO's Bean Score would hit each σ threshold. Valid until next earnings report: 2026-05-07.

LevelσPriceSignal
Deep Value+2σ$21.50Unusually cheap — potential buy zone
Value+1σ$23.48Cheap vs. own history
Fair Value+0σ$25.86Historical mean behavior
Expensive-1σ$28.79Expensive vs. own history
Deep Expensive-2σ$32.46Unusually expensive — potential trim zone

Quarterly FCF & Yield Trailing twelve-month free cash flow and yield at each quarter end

Data depth: 2 quarterly baselines, 22 price observations — Limited history (4+ quarters preferred for reliability)

Signal Accuracy Collecting Data

The Bean Score system is accumulating weekly data to validate signal accuracy. After 13+ weeks of history, this section will display win rates and average returns for each σ threshold crossing — answering the question: "When this score says cheap or expensive, does the price subsequently move in the expected direction?"

11 / 13 weeks minimum

Theoretical framework — not backtested or forward-tested. The Bean Score uses trailing twelve-month free cash flow yield as a dislocation identifier. It measures whether the market has pushed a stock's yield unusually far from its own baseline behavior. These levels are reference points for identifying potential swing trade opportunities, not buy/sell signals. FCF values update quarterly with earnings; between reports, all movement is price-driven.

Dislocation Scores Experimental

Each score measures deviation from SARO's own historical baseline — the same idea as the Bean Score, applied to different fundamentals. Positive means cheaper or more dislocated than this stock's norm. Scores marked σ are normalized by the stock's own variability; pp values are simple deltas from its recent baseline.

Yield Dislocation N/A Dividend yield vs own 10-yr norm
Drawdown Score N/A Distance from line vs own history
Sector-Relative N/A Vs sector median this week
Buyback Acceleration -0.1pp YoY share change vs own 3-yr pace (− = accelerating)
Insider Intensity 50th TTM buys / market cap, percentile of buyers
FCF Yield vs History N/A Vs own recent annual mean
Earnings Quality Stable Accrual gap trend (+1.0pp of revenue)

Theoretical framework — not backtested. These scores describe how unusual today's readings are for this specific company. They are starting points for research, not buy or sell signals. Annual-statement scores (buyback, accruals, FCF vs history) rest on only ~4 yearly data points and are deltas, not sigmas.

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Insider Buying Activity

1 conviction buy in the past 12 months (purchases over $500K with meaningful position increases).

DateInsiderTitleValueSharesPosition +%
2026-03-13MCELHINNEY PAULDirector$983,60637,243+14.9%

Historical Touches

SARO has crossed below its 200-week MA 3 times

Crossed BelowRecoveredWeeksMax Depth1-Year ReturnReturn Since Touch
Sep 2025Oct 202564.9%N/A+2.2%
Nov 2025Dec 2025510.7%N/A+3.4%
Mar 2026Ongoing15+12.2%Ongoing+6.5%

Frequently Asked Questions

Is SARO below its 200-week moving average?

Yes. As of 2026-06-19, StandardAero, Inc. (SARO) is trading 0.2% below its 200-week moving average of $27.81. The current price is $27.75.

What is SARO's 200-week moving average price?

StandardAero, Inc.'s 200-week moving average is $27.81 as of 2026-06-19. This is the average weekly closing price over roughly the last 4 years, and it acts as a long-term trend line. When a stock drops below this level, it can signal that the price has fallen far enough from the long-term trend to attract value-oriented investors.

What happens when SARO drops below its 200-week moving average?

SARO has crossed below its 200-week moving average 3 times in our data. These episodes lasted 9 weeks on average.

Is SARO a good value right now?

Here's what our data says about SARO as of 2026-06-19: The stock is below its 200-week moving average, which is the starting point for our analysis. The 14-week RSI is 56. Free cash flow yield is 1.0%. Return on equity is 11.5%. Price-to-book is 3.4x. This is not a buy or sell recommendation — always do your own research.

Not financial advice. This is an educational tool. Past performance does not guarantee future results. Do your own research before making investment decisions.

Data as of week of 2026-06-19