Latecoere SA generated €10.5 million operating cash flow in 2025, reversing a €7.4 million outflow from 2024.
Revenue rose 7.2% to €756.7 million, while net loss narrowed to €32.1 million from €60.6 million a year earlier.
Recurring EBITDA increased 53% to €39.4 million, lifting margin to 5.2% and reducing net debt to €151.3 million.
CEO Andre‑Hubert Roussel highlighted MADES divestment, cost controls and expects 2026 volume growth despite inflationary and supply‑chain pressures.