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INDICATIVE · SAMPLE DATA
KRMN$66.0259

Karman Holdings Inc

Aerospace & DefenseVerified

Karman Holdings Inc has a market capitalization of $8.75 billion and a price-to-earnings ratio of 4123.18, indicating a highly elevated valuation relative to its reported net income of $2.12 million. The company's liquidity position is currently unassessable due to the absence of balance-sheet inputs and no going-concern language in source documents. Free cash flow stands at $8.09 million, while capital expenditures are negative at -$1.62 million, suggesting a net cash inflow from operations and a reduction in capital spending. Profitability metrics show a gross profit of $29.00 million and an operating income of $13.50 million, translating to a gross margin of 34.93% and an operating margin of 16.38%. These figures are to be compared against industry norms for aerospace and defense firms, where gross margins typically range between 25% and 40%, and operating margins between 10% and 25%. Karman's margins are at the upper end of the industry range, indicating strong cost control and pricing power. The company's revenue is concentrated in a single business segment and geographic region, as disclosed segments are not further specified in the available data. This lack of diversification increases exposure to sector-specific and regional economic risks. No specific geographic breakdown is provided, but the absence of international revenue details suggests a potential concentration risk. Looking ahead, the company's growth trajectory is uncertain. Analysts have provided a wide range of price targets, from $37.00 to $135.00, with a mean of $117.10 and a median of $125.00. The mean recommendation score of 1.82 suggests a generally positive outlook, with 4 strong-buy and 6 buy ratings. However, the absence of detailed revenue growth projections and the lack of balance-sheet data make it difficult to assess the sustainability of this growth. Risk factors include the inability to assess liquidity risk and the potential for dilution, although the latter is currently rated as low. No dilution sources are explicitly identified in the available documents, and the company has not issued new shares recently. The absence of balance-sheet data also limits the ability to evaluate credit risk and overall financial stability. Recent events include the publication of analyst estimates and price targets, which reflect a broad spectrum of expectations. The company has not disclosed any recent filings or transcripts that would provide additional insight into its strategic direction or operational performance.

30-day price · KRMN-23.33 (-27.1%)
Low$55.01High$94.26Close$62.77As of17 May, 00:00 UTC
Profile
CompanyKarman Holdings Inc
TickerKRMN.K
SectorIndustrials
BusinessIndustrial Goods
Industry groupIndustrial Goods
IndustryAerospace & Defense
AI analysis

Business. Karman Holdings Inc is an aerospace and defense company that generates revenue primarily through the design, development, and production of specialized industrial goods and systems for defense and aerospace applications.

Classification. Karman Holdings Inc is classified under the Industrials sector, specifically in the Aerospace & Defense industry, with a high confidence level of 0.92 based on verified market data.

Karman Holdings Inc has a market capitalization of $8.75 billion and a price-to-earnings ratio of 4123.18, indicating a highly elevated valuation relative to its reported net income of $2.12 million. The company's liquidity position is currently unassessable due to the absence of balance-sheet inputs and no going-concern language in source documents. Free cash flow stands at $8.09 million, while capital expenditures are negative at -$1.62 million, suggesting a net cash inflow from operations and a reduction in capital spending. Profitability metrics show a gross profit of $29.00 million and an operating income of $13.50 million, translating to a gross margin of 34.93% and an operating margin of 16.38%. These figures are to be compared against industry norms for aerospace and defense firms, where gross margins typically range between 25% and 40%, and operating margins between 10% and 25%. Karman's margins are at the upper end of the industry range, indicating strong cost control and pricing power. The company's revenue is concentrated in a single business segment and geographic region, as disclosed segments are not further specified in the available data. This lack of diversification increases exposure to sector-specific and regional economic risks. No specific geographic breakdown is provided, but the absence of international revenue details suggests a potential concentration risk. Looking ahead, the company's growth trajectory is uncertain. Analysts have provided a wide range of price targets, from $37.00 to $135.00, with a mean of $117.10 and a median of $125.00. The mean recommendation score of 1.82 suggests a generally positive outlook, with 4 strong-buy and 6 buy ratings. However, the absence of detailed revenue growth projections and the lack of balance-sheet data make it difficult to assess the sustainability of this growth. Risk factors include the inability to assess liquidity risk and the potential for dilution, although the latter is currently rated as low. No dilution sources are explicitly identified in the available documents, and the company has not issued new shares recently. The absence of balance-sheet data also limits the ability to evaluate credit risk and overall financial stability. Recent events include the publication of analyst estimates and price targets, which reflect a broad spectrum of expectations. The company has not disclosed any recent filings or transcripts that would provide additional insight into its strategic direction or operational performance.
Key takeaways
  • Karman Holdings Inc has a high price-to-earnings ratio of 4123.18, indicating a premium valuation relative to its earnings.
  • The company's gross and operating margins are at the upper end of the aerospace and defense industry range, suggesting strong profitability.
  • Revenue concentration in a single segment and geographic region increases exposure to sector-specific and regional economic risks.
  • Analysts have provided a wide range of price targets, with a generally positive outlook, but the lack of detailed financial data limits the ability to assess growth sustainability.
  • Liquidity risk cannot be evaluated due to the absence of balance-sheet data, and no recent dilution events have been identified.
  • --
  • ## RATIONALES
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Financial snapshot
PeriodHA-latest
CurrencyUSD
Revenue$83.0M
Gross profit$29.0M
Operating income$13.5M
Net income$2.1M
R&D
SG&A
D&A
SBC
Operating cash flow$3.1M
CapEx-$1.6M
Free cash flow$8.1M
Total assets
Total liabilities
Total equity
Cash & equivalents
Long-term debt
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4
FY-3$226.3M$20.4M-$14.1M-$385.3k
FY-2$280.7M$48.5M$4.4M$14.8M
FY-1$345.3M$63.6M$12.7M$30.4M
FY0$471.5M$72.9M$17.4M$39.8M
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4
FY-3$682.6M$177.6M$6.6M
FY-2$710.8M$182.5M$5.5M
FY-1$774.0M$196.0M$11.5M
FY0$1.10B$382.7M$34.0M
PeriodOCFCapExFCFSBC
FY-4
FY-3-$5.9M-$21.3M-$385.3k
FY-2$20.3M-$16.8M$14.8M
FY-1$26.6M-$15.3M$30.4M
FY0-$22.1M-$20.3M$39.8M
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$83.0M$13.5M$2.1M$8.1M
FQ-6$85.0M$18.3M$4.6M$7.8M
FQ-5$86.0M$17.4M$4.3M$8.2M
FQ-4$91.2M$14.4M$1.7M$6.7M
FQ-3$100.1M$10.0M-$4.8M-$365.0k
FQ-2$115.1M$20.1M$6.8M$13.5M
FQ-1$121.8M$21.8M$7.6M$11.6M
FQ0$134.5M$21.1M$7.7M$15.6M
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7
FQ-6
FQ-5$748.5M$194.1M$7.7M
FQ-4$774.0M$196.0M$11.5M
FQ-3$875.4M$348.9M$113.7M
FQ-2$953.9M$361.5M$27.4M
FQ-1$968.1M$369.1M$18.7M
FQ0$1.10B$382.7M$34.0M
PeriodOCFCapExFCFSBC
FQ-7$3.1M-$1.6M$8.1M
FQ-6$9.2M-$6.7M$7.8M
FQ-5$19.1M-$11.1M$8.2M
FQ-4$26.6M-$15.3M$6.7M
FQ-3-$13.6M-$5.0M-$365.0k
FQ-2-$31.0M-$8.7M$13.5M
FQ-1-$30.8M-$15.6M$11.6M
FQ0-$22.1M-$20.3M$15.6M
Valuation
Market price$66.02
Market cap$8.75B
Enterprise value
P/E4123.2
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book
Net cash
Current ratio
Debt/Equity
ROA
ROE
Cash conversion1.4%
CapEx/Revenue-1.9%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskUnknown
  • Liquidity risk could not be assessed (no balance-sheet inputs and no going-concern language in source documents).
Industry benchmarks
Activity: Aerospace & Defense · cohort 184 companies
MetricKRMNActivity
Op margin16.3%6.6% medp25 -6.7% · p75 13.4%top quartile
Net margin2.6%4.7% medp25 -6.0% · p75 11.0%below median
Gross margin34.9%28.0% medp25 16.8% · p75 46.8%above median
R&D / revenue4.1% medp25 4.1% · p75 4.1%
CapEx / revenue-1.9%-6.7% medp25 -17.5% · p75 -3.2%top quartile
Debt / equity16.5% medp25 3.2% · p75 44.9%
Observations
IR observations
Mean price target117.10 USD
Median price target125.00 USD
High price target135.00 USD
Low price target37.00 USD
Mean recommendation1.82 (1=strong buy, 5=strong sell)
Strong-buy count4.00
Buy count6.00
Hold count0.00
Sell count1.00
Strong-sell count0.00
Mean EPS estimate0.66 USD
Last actual EPS0.37 USD
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-16 12:28 UTC#8c9a3be7
Market quoteclose USD 68.92 · shares 0.13B diluted
no public URL
2026-05-16 12:28 UTC#6d95c368
Source: analysis-pipeline (hybrid)Generated: 2026-05-28 08:58 UTCJob: 52c6d3b1