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Asset logo for symbol CRUS
Cirrus Logic
CRUS71
$100.42arrow_drop_down1.78%-$1.82
High Quality
Asset logo for symbol CRUS
CRUS71

$100.42

arrow_drop_down1.78%

Income Statement (CRUS)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
EBIT$153.91M$140.24M$46.79M$52.37M$167.18M
EBITDA$166.74M$152.86M$59.15M$64.38M$179.92M
gross Profit$297.78M$282.59M$188.92M$194.59M$317.46M
NET Income$116.00M$102.14M$42.09M$44.84M$138.72M
total Revenue$555.73M$541.85M$374.02M$371.82M$618.98M

Balance Sheet (CRUS)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
cash Equivalents-----
net Debt-$379.96M-$293.15M-$337.27M-$347.54M-$325.61M
stockholders Equity$1.96B$1.92B$1.84B$1.81B$1.80B
total Assets$2.36B$2.35B$2.26B$2.23B$2.21B
total Debt$146.48M$152.60M$154.07M$155.21M$158.32M
total Liabilities$400.44M$428.01M$417.99M$414.56M$416.35M

Cash Flow (CRUS)

itemDec 2024Sep 2024Jun 2024Mar 2024Dec 2023
financing Cash Flow-$98.77M-$48.34M-$32.01M-$49.43M-$70.59M
free Cash Flow$212.12M$5.49M$77.01M$162.83M$303.87M
investing Cash Flow-----
operating Cash Flow$218.58M$8.23M$87.16M$170.52M$313.69M

Cirrus Logic (CRUS) Financials

The income statement of Cirrus Logic Inc (CRUS) provides valuable insights into the financial performance of the company. It shows the revenue generated by the company from its operations, as well as the various expenses incurred. The ebit (earnings before interest and taxes) is a measure of the company's profitability before taking into account interest and taxes. It gives an indication of how well the company's core operations are performing. The ebitda (earnings before interest, taxes, depreciation, and amortization) further adjusts for non-cash expenses such as depreciation and amortization. This provides a clearer picture of the company's operating performance. The gross profit represents the company's revenue minus the cost of goods sold. It indicates how efficiently the company is able to produce and sell its products. The net income from stockholders reflects the profit remaining after all expenses, including interest and taxes, have been deducted. It represents the amount of profit available to the company's stockholders.
The total revenue of Cirrus Logic Inc (CRUS) shows the overall sales generated by the company. It includes revenue from the sale of its products and services. The balance sheet of the company provides a snapshot of its financial position at a specific point in time. It lists the company's assets, liabilities, and stockholders' equity. Cash equivalents on the balance sheet refer to highly liquid assets that can be readily converted into cash. Net debt is calculated by subtracting the company's cash and cash equivalents from its total debt. It indicates the company's overall debt position after considering its available cash resources. Stockholders' equity represents the portion of the company's assets that is attributable to its stockholders. It shows the amount of capital that the company has raised through stock issuance. Total assets on the balance sheet reflect the company's total resources, including both tangible and intangible assets. Total debt represents the company's outstanding debt obligations. It includes both short-term and long-term debt. Total liabilities on the balance sheet include all of the company's obligations and debts. It represents the amount of claims against the company's assets.
The cash flow statement of Cirrus Logic Inc (CRUS) provides information about the company's cash inflows and outflows. It includes cash flows from operating activities, investing activities, and financing activities. The financing cash flow represents the cash flows related to the company's financing activities, such as issuing or repurchasing stock, as well as borrowing or repaying debt. Free cash flow is a measure of the company's cash flow available for distribution to its investors or for reinvestment in the business. It is calculated by subtracting the company's capital expenditures from its operating cash flow. The investing cash flow represents the cash flows related to the company's investing activities, such as acquiring or disposing of assets. The operating cash flow represents the cash flows generated from the company's core operations, excluding financing and investing activities. It provides an indication of the company's ability to generate cash from its day-to-day operations.
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