Defense & Aerospace Report Podcast [Feb 14 ’26 Business Report]
Feb 14, 2026
Richard Aboulafia, aerospace strategist; Sash Tusa, European defense market analyst; Dr. “Rocket” Ron Epstein, Bank of America equities specialist. They debate Europe’s rearmament and SCAF tensions. They cover Canada’s F-35 hedge, market moves vs. tech, trainer and autonomy trends, HAL’s fighter exit, airport drone threats, and Saudi ambitions for a domestic defense industry.
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A&D Resilience During Market Turbulence
- Aerospace & defense stocks held up better than broader markets during the tech sell-off this week.
- Treasury yields, oil and a weakening dollar helped stabilize A&D relative performance.
Europe's A&D Moves Independent Of Markets
- European aerospace and defense are poorly correlated with broader markets and show idiosyncratic moves.
- Safran upgraded medium-term guidance, signaling durable civil aftermarket strength.
Why Keeping CFM Together Matters
- The CFM partnership is strategically vital and a split would be disruptive and costly.
- Political pressure may push Europe toward a sovereign narrowbody engine, but technical barriers are high.
