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Asset logo for symbol CR
Crane Co
CR55
$170.24arrow_drop_down0.43%-$0.74
Asset logo for symbol CR
CR55

$170.24

arrow_drop_down0.43%

Income Statement (CR)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
EBIT$91.30M$107.40M$96.60M$89.40M$70.10M
EBITDA$104.80M$121.30M$110.40M$102.30M$81.10M
gross Profit$544.10M$238.00M$223.90M$220.50M$193.80M
NET Income$81.00M$77.30M$71.60M$64.80M$49.40M
total Revenue$544.10M$597.20M$581.20M$565.30M$532.90M

Balance Sheet (CR)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
cash Equivalents-----
net Debt-$59.70M$87.00M$160.40M$149.30M-$14.00M
stockholders Equity$1.64B$1.57B$1.47B$1.40B$1.35B
total Assets$2.61B$2.65B$2.50B$2.41B$2.33B
total Debt$247.00M$345.20M$389.70M$368.70M$315.60M
total Liabilities$977.70M$1.07B$1.03B$1.01B$973.30M

Cash Flow (CR)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
financing Cash Flow-$94.20M-$55.10M$11.70M$87.90M-$7.50M
free Cash Flow$111.40M$136.50M$54.60M-$89.00M$146.70M
investing Cash Flow-----
operating Cash Flow$125.20M$81.70M$62.00M-$79.90M$159.70M

Crane Co (CR) Financials

Crane Co (CR) is a diversified manufacturer of highly engineered industrial products. The company operates in four segments: Fluid Handling, Payment & Merchandising Technologies, Aerospace & Electronics, and Engineered Materials. Crane Co's financials provide a comprehensive view of its performance and financial health. The income statement reveals the company's revenue, expenses, and net income. In the case of Crane Co, its total revenue for the latest fiscal year was $3.35 billion. The gross profit was $1.17 billion, indicating a strong margin. The net income from stockholders was $225 million.
Moving to the balance sheet, Crane Co's total assets amounted to $3.96 billion, with total liabilities of $2.49 billion. The stockholders' equity, which represents the residual interest in the assets after deducting liabilities, was $1.47 billion. The company's total debt was $1.26 billion, while cash equivalents stood at $103 million. This indicates that Crane Co has a manageable debt level. In terms of cash flow, the operating cash flow provides insights into the cash generated through the company's core operations. For Crane Co, the operating cash flow was $306 million. The investing cash flow reflects the cash used for investments and acquisitions, while the financing cash flow represents the cash flow from financing activities such as raising funds or repaying debt. Crane Co's investing cash flow was $-113 million and the financing cash flow was $-178 million. Lastly, the free cash flow, which is the cash available for distribution to investors or for reinvestment, was $193 million.
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