1. MARKETS
  2. SECTOR : GENERAL & INDUSTRIAL MANUFACTURING
  3. INDUSTRY : AEROSPACE & DEFENSE
  4. HEXCEL CORP.
84.96-0.17(-0.20%)
834.5K
XNYS Volume

XNYS 09 Oct, 2026 5:30 PM (EDT)

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My Notes

Board Meeting
The next board meeting for Hexcel Corp is on 21 Oct 2026 for the purpose of Hexcel Corp Third Quarter Earnings Results for 2026See details

Hexcel Corp quarterly and annual earnings report: results, revenue, profit, P&L, balance sheet, cash flow, financial ratios, revenue mix, peer comparison, and financial documents

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Forecaster Analyst Estimates for Hexcel Corp share price target, revenues, EPS, net income and more

Hexcel Corp quarterly results: revenue, profit, and P&L – 13 quarter history

  • POSITIVE

    Quarterly Revenue Hexcel Corp Jun-2026 Quarterly Revenue is $529 Million which is growth of 8.0% YoY.

  • POSITIVE

    Quarterly Net Profit Hexcel Corp Jun-2026 Quarterly Net Profit is $49 Million which is growth of 265.2% YoY.

Hexcel Corp., Earnings Report - Quarterly Results, standalone, All financials are in USD Million and price data in USD
IndicatorGraphJun '26Mar '26Dec '25Sep '25Jun '25Mar '25Dec '24Sep '24Jun '24Mar '24Dec '23Sep '23Jun '23
Operating Rev.
529.3501.5491.3456.2489.9456.5473.8456.5500.4472.3457.5419.5454.3
Cost Of Rev.
391.2366.8370.3356.3378.4354.1355.3350373.8354.1354.4327.9343.5
Gross Profit
138.1134.712199.9111.5102.4118.5106.5126.6118.2103.191.6110.8
⌄
65.577.159.663.981.558.2109.65454.865.355.54849.5
Operating Profit
72.657.661.4363044.28.952.571.852.947.643.661.3
-12-11.8-11.6-9.2-9.1-7.8-8.1-8.5-8.1-6.5-7.6-7.8-9.2
Profit Before Tax
60.745.550.426.821.8360.84463.746.4-31.635.852.1
Tax
11.48.346.28.37.1-54.213.79.9-10.4-0.711.5
⌄
49.337.246.420.613.528.95.839.85036.5-18.238.742.5
Diluted NI Avail to Com Stockholders Ann.
49.337.246.420.613.528.95.839.85036.5-18.238.742.5
Basic EPS
0.70.50.60.30.20.40.10.50.60.4-0.20.50.5
Diluted EPS After ExtraOrdinary
0.70.60.50.40.50.40.50.50.60.40.40.40.5
Number Of Shares End
75.775.976.879.880.281.181.481.582.583.984.684.684.7
Net Income Continuing Discontinued Operations
49.337.246.420.613.528.95.839.85036.5-18.238.742.5
Normalized Income
50.245.540.429.840.430.142.638.350.237.436.632.542.8
Interest Income
-------------
Interest
1211.811.69.29.17.88.18.58.16.57.67.89.2
Net Interest Income
-12-11.8-11.6-9.2-9.1-7.8-8.1-8.5-8.1-6.5-7.6-7.8-9.2
EBIT
72.757.3623630.943.88.952.571.852.9-2443.661.3
EBITDA
102.887.792.866.961.773.639.983.5102.883.97.675.192.3
Reconciled Cost Of Rev.
391.2366.8370.3356.3378.4354.1355.3350373.8354.1354.4327.9343.5
Reconciled Depr.
30.130.430.830.930.829.83131313131.631.531
Profit From Continuing Operations
49.337.246.420.613.528.95.839.85036.5-18.238.742.5
Normalized EBITDA
102.887.792.866.961.773.639.983.5102.883.97.675.192.3
*All financials are in USD Million and price data in USD

Hexcel Corp competitor comparison and performance snapshot within industry

Hexcel Corp annual results: revenue, profit, P&L, and margins as of Dec 2025 – 11 year history

  • NEGATIVE

    Annual Revenue Hexcel Corp Dec-2025 Annual Revenue is $1,894 Million which is growth of -0.5% YoY.

  • NEGATIVE

    Annual Net Profit Hexcel Corp Dec-2025 Annual Net Profit is $109 Million which is growth of -17.2% YoY.

Hexcel Corp., Earnings Report - Annual Results, standalone, All financials are in USD Million and price data in USD
IndicatorGraphCAGR 3 YrsCAGR 5 YrsTTMDec '25Dec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15
6.3%
4.7%
 1,893.91,9031,7891,577.71,324.71,502.42,355.72,189.11,973.32,004.31,861.2
Cost Of Rev. Ann.
6.1%
2.9%
1,484.61,459.11,433.21,355.81,220.61,074.61,262.71,715.31,608.31,421.51,439.71,328.4
Gross Profit Ann.
6.8%
12.6%
493.7434.8469.8433.2357.1250.1239.7640.4580.8551.8564.6532.8
Operating Exp. Ann.
13.1%
3.1%
266.1263.2283.7217.9181.9198.3225.6215.2209.6201.2204.5200.4
Operating Profit Ann.
-0.7%
64.8%
227.6171.6186.1215.3175.251.814.1425.2371.2350.6360.1332.4
-
-
-44.6-37.7-31.2-34-36.2-38.3-41.8-45.5-37.7-27.4-22.1-14.2
Other Exp. Ann.
-53.3%
-
 1.1--71.610.88.5-----0.4-
PBT Ann.
-3.4%
-
183.4135154.9109.7149.822-27.7379.7333.5323.2337.6318.2
Tax Ann.
-6.8%
-
29.925.622.812.131.65.9-6176.862.542.590.383
⌄
-4.7%
28.1%
153.5109.4132.1105.7126.316.131.7306.6276.6284249.8237.2
Diluted NI Avail to Com Stockholders Ann.
-4.7%
28.1%
153.5109.4132.1105.7126.316.131.7306.6276.6284249.8237.2
EPS Ann.
-2.3%
28.5%
 1.41.61.31.50.20.43.63.23.12.72.5
Diluted EPS Ann.
-2.3%
28.5%
 1.41.61.21.50.20.43.63.13.12.72.4
Number Of Shares End
-3.1%
-1.8%
 76.881.484.684.484.184.184.385.890.391.994.6
Total Exp. Ann.
7.1%
3%
 1,722.31,716.91,573.71,402.51,272.91,488.31,930.51,817.91,622.71,644.21,528.8
Net Income Continuing Discontinued Operations Ann.
-4.7%
28.1%
153.5109.4132.1105.7126.316.131.7306.6276.6284249.8237.2
Normalized Income Ann.
9%
46.9%
165.9140.8168.5154.8108.823.220.6303.6271.1246.3243.5225.6
Interest Income Ann.
-
-
 -----------
Interest Ann.
1.4%
-2%
44.637.731.23436.238.341.845.537.727.422.114.2
EBITDA Ann.
-1.9%
13.7%
350.2295310.1268.5312.2198.3155566.9494.3455.1453408.8
Reconciled Cost Of Rev. Ann.
6.1%
2.9%
1,484.61,459.11,433.21,355.81,220.61,074.61,262.71,715.31,608.31,421.51,439.71,328.4
Reconciled Depr. Ann.
-1%
-2.8%
122.2122.3124124.8126.2138140.9141.7123.1104.593.376.4
Profit From Continuing Operations Ann.
-4.7%
28.1%
153.5109.4132.1105.7126.316.131.7306.6276.6284249.8237.2
Normalized EBITDA Ann.
-1.9%
13.7%
350.2295310.1268.5312.2198.3155566.9494.3455.1453408.8
*All financials are in USD Million and price data in USD
Total Rev. Ann.
1Y CHG
-0.5%
2Y CAGR
2.9%
3Y CAGR
6.3%
5Y CAGR
4.7%
7Y CAGR
-2%
10Y CAGR
0.2%
Total Revenue Annual is falling faster than historical averages.
Net Profit Ann.
1Y CHG
-17.2%
2Y CAGR
1.7%
3Y CAGR
-4.7%
5Y CAGR
28.1%
7Y CAGR
-12.4%
10Y CAGR
-7.4%
Net Profit Annual is falling faster than historical averages.
Operating Exp. Ann.
1Y CHG
-7.2%
2Y CAGR
9.9%
3Y CAGR
13.1%
5Y CAGR
3.1%
7Y CAGR
3.3%
10Y CAGR
2.8%
Operating Expenses Annual Cr is falling faster than historical averages.

Hexcel Corp balance sheet as of Dec 2025: assets, liabilities, reserves, and borrowings – 11 year history

  • NEGATIVE

    Total Shareholders Fund Hexcel Corp Dec-2025 Total Shareholders Fund is $1,251 Million which is growth of -18.1% YoY.

  • NEGATIVE

    Total Assets Hexcel Corp Dec-2025 Total Assets is $2,704 Million which is growth of -0.8% YoY.

Hexcel Corp., Balance Sheet, standalone, All financials are in USD Million and price data in USD
IndicatorGraphCAGR 3 YrsCAGR 5 YrsDec '25Dec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15
-1.6%
-1.5%
2,7042,725.62,918.52,837.32,819.42,917.83,128.62,824.12,780.92,400.62,187.4
⌄
4.2%
0.6%
1,453.31,197.71,2021,283.11,333.91,407.61,682.51,502.11,285.81,155.71,007.8
⌄
-7%
-3.7%
1,250.71,527.91,716.51,554.21,485.51,510.21,446.11,3221,495.11,244.91,179.6
Total Capitalization Ann.
-0.5%
-1.6%
2,241.62,226.62,414.22,276.12,306.42,433.22,494.72,268.62,300.71,929.31,756.1
Tangible Assets Ann.
-8%
-3.9%
1,010.91,290.91,465.21,298.21,2181,232.41,165.71,179.71,346.41,172.71,120.7
Working Capital Ann.
0.3%
2.9%
408428548.3404.6368.7352.8382.3349.1394.6335.1341.2
Invested Capital Ann.
-0.5%
-1.6%
2,241.62,226.62,414.22,276.12,306.42,433.22,503.62,277.72,3051,933.11,756.1
Tangible Book Value Ann.
-8%
-3.9%
1,010.91,290.91,465.21,298.21,2181,232.41,165.71,179.71,346.41,172.71,120.7
Borrowings Ann.
11.1%
1.4%
993700.7699.5723.5823.3926.41,060.1956.8809.9688.7576.5
Net Debt Ann.
14.7%
2.3%
919.9573.3470.7609.9693.2819.7993.1923749.8653524.7
Share Issued Ann.
0.5%
0.4%
112.1111.6110.8110.4110.1109.7109.3108.5107.8106.7106
Number Of Shares End
-3.1%
-1.8%
76.881.484.684.484.184.184.385.890.391.994.6
*All financials are in USD Million and price data in USD
Total Assets Ann.
1Y CHG
-0.8%
2Y CAGR
-3.7%
3Y CAGR
-1.6%
5Y CAGR
-1.5%
7Y CAGR
-0.6%
10Y CAGR
2.1%
Total Assets Annual is falling faster than historical averages.
Total Current Liabilities Ann.
1Y CHG
-8.7%
2Y CAGR
1.1%
3Y CAGR
-0.7%
5Y CAGR
12%
7Y CAGR
-0.2%
10Y CAGR
1%
Total Current Liabilities Annual Cr is falling faster than historical averages.
Total ShareHolders Funds Ann.
1Y CHG
-18.1%
2Y CAGR
-14.6%
3Y CAGR
-7%
5Y CAGR
-3.7%
7Y CAGR
-0.8%
10Y CAGR
0.6%
Total ShareHolders Funds Annual is falling faster than historical averages.

Hexcel Corp ROE, ROCE, book value, and debt-to-equity ratio as of Dec 2025 – 11 year history

  • NEGATIVE

    Book Value Per Share Hexcel Corp Book Value Per Share is $16 which is growth of -15.6% YoY.

  • NEUTRAL

    ROE Hexcel Corp ROE is 0% which is growth of 0% YoY.

Hexcel Corp., Ratios, standalone, All financials are in USD Million and price data in USD
IndicatorGraphCAGR 3 YrsCAGR 5 YrsDec '25Dec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15
RoA Ann. %
-
-
-4.68%3.67%4.47%0.56%1.05%10.30%9.87%10.96%10.89%11.23%
ROE Ann. %
-
-
-8.14%6.46%8.31%1.07%2.14%22.15%19.64%20.73%20.61%20.36%
ROIC %
-
-
-0.5-0.521.1-0.53.33.24.13.33.3
OPM Ann. %
-6.5%
57.3%
9.06%9.78%12.03%11.10%3.91%0.94%18.05%16.96%17.77%17.97%17.86%
Inventory Turnover Ratio Ann.
-
-
-4.24.24.34.74.65.45.34.74.84.5
Asset Turnover Ann. %
-
-
-0.70.60.60.50.50.80.80.80.90.9
Working Capital Turnover Ann.
5.7%
1.4%
4.64.53.33.93.64.36.26.3565.5
Quick Ratio Ann.
-
-
-11.51.11.31.51.11.11.211
Current Ratio Ann.
-
-
-2.22.72.22.52.92.22.12.52.22.2
Interest Coverage Ratio Ann.
-
-
-64.25.11.60.39.49.912.816.323.4
LT Debt To Equity Ann.
-
-
-0.50.40.50.60.60.70.70.50.60.5
*All financials are in USD Million and price data in USD

Hexcel Corp cash flow: net, operating, investing, and financing flows as of Dec 2025 – 11 year history

  • NEGATIVE

    Cash From Operating Activity Hexcel Corp Dec-2025 Cash From Operating Activity is $230 Million which is growth of -20.5% YoY.

  • POSITIVE

    Net Cash Flow Hexcel Corp Dec-2025 Net Cash Flow is $-58 Million which is growth of 41.5% YoY.

Hexcel Corp., Cash Flow, standalone, All financials are in USD Million and price data in USD
IndicatorGraphCAGR 3 YrsCAGR 5 YrsDec '25Dec '24Dec '23Dec '22Dec '21Dec '20Dec '19Dec '18Dec '17Dec '16Dec '15
10%
-2.7%
230.5289.9257.1173.1151.7264.3491.1421.4428.7401.4301
-
-
-76-87-50.7-54.6-27.9-50.6-367.3-187.5-354.1-366.5-305.3
-
-
-212.3-301.7-92.6-130-96.8-178.5-91.4-257.3-58.3-46.8-10.9
Cash Plus Cash Eqv. End Of Year Ann.
-14.1%
-7.2%
71125.4227112127.7103.364.432.760.135.251.8
Net Increase In Cash Plus Cash Eqv.s Ann.
-
-
-57.8-98.8113.8-11.52735.232.4-23.416.3-11.9-15.2
Cash Plus Cash Eqv. Begin Of Year Ann.
-0.6%
14.3%
125.4227112127.7103.364.432.760.135.251.870.9
Income Tax Paid Supplemental Data Ann.
-41.2%
-
7.342.259.135.91.2------
Interest Paid Supplemental Data Ann.
4.3%
-
40.233.534.635.436.1------
Capex Ann.
-
-
-73.3-87-108.2-76.3-27.9-50.6-204.1-184.1-278.1-327.9-305.3
Issuance Of Capital Stock Ann.
-
-
-----------
Issuance Of Debt Ann.
149.9%
13%
780160.316350422.8926752.2435.7105.5300
Repayment Of Debt Ann.
-
-
-489.2-160-188.2-150.6-103-556.9-824-604.2-319.6-136.2
Repurchase Of Capital Stock Ann.
-
-
-454.3-252.2-30.1-24.6-143-357.7-150.3-111.1-146.1
Free Cash Flow Ann.
17.5%
-6%
157.2202.9148.996.8123.8213.7287237.3150.673.5-4.3
*All financials are in USD Million and price data in USD
Cash from Operating Act. Ann.
1Y CHG
-20.5%
2Y CAGR
-5.3%
3Y CAGR
10%
5Y CAGR
-2.7%
7Y CAGR
-8.3%
10Y CAGR
-2.6%
Cash from Operating Activity Annual is falling faster than historical averages.