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nasdaq-cr
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Crane Co
CR
193.960
USD
-0.690
-0.35%
Cierre 08/08, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
11.16B
Cap. mercado
33.11
P/E TTM
Crane Co
193.960
-0.690
-0.35%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
44.88%
332.20M
98.31%
435.10M
-6.95%
306.70M
-5.70%
258.20M
4.75%
229.30M
-24.86%
219.40M
-22.81%
329.60M
13.05%
273.80M
--
218.90M
--
292.00M
--
427.00M
--
242.20M
Efectivo y equivalentes de efectivo
44.88%
332.20M
98.31%
435.10M
-6.95%
306.70M
-5.70%
258.20M
4.75%
229.30M
-24.86%
219.40M
-22.81%
329.60M
13.05%
273.80M
--
218.90M
--
292.00M
--
427.00M
--
242.20M
Por cobrar
3.45%
383.70M
7.89%
384.40M
13.91%
339.10M
-0.25%
396.10M
1.87%
370.90M
-5.79%
356.30M
-8.82%
297.70M
41.97%
397.10M
--
364.10M
--
378.20M
--
326.50M
--
279.70M
-Cuentas y pagarés por cobrar
3.45%
383.70M
7.89%
384.40M
13.91%
339.10M
22.44%
396.10M
23.76%
370.90M
12.90%
356.30M
10.38%
297.70M
15.66%
323.50M
--
299.70M
--
315.60M
--
269.70M
--
279.70M
-Otros por cobrar
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
73.60M
--
64.40M
--
62.60M
--
56.80M
--
0.00
Inventario
3.23%
402.20M
2.03%
391.60M
10.61%
380.40M
13.45%
398.10M
7.98%
389.60M
14.88%
383.80M
16.89%
343.90M
16.77%
350.90M
--
360.80M
--
334.10M
--
294.20M
--
300.50M
Otros activos corrientes
6.78%
127.50M
44.10%
162.40M
58.62%
159.10M
421.41%
192.40M
32.67%
119.40M
34.97%
112.70M
28.10%
100.30M
-54.44%
36.90M
--
90.00M
--
83.50M
--
78.30M
--
81.00M
Total de activos corrientes
12.30%
1.25B
28.10%
1.37B
28.64%
1.40B
17.58%
1.24B
7.29%
1.11B
-1.43%
1.07B
-37.74%
1.09B
17.19%
1.06B
--
1.03B
--
1.09B
--
1.75B
--
903.40M
Activos no corrientes
Activos fijos netos
0.58%
275.20M
-1.53%
270.10M
6.87%
261.30M
9.31%
277.00M
7.63%
273.60M
9.68%
274.30M
-1.53%
244.50M
5.36%
253.40M
--
254.20M
--
250.10M
--
248.30M
--
240.50M
-Activos fijos
-6.31%
729.40M
-8.87%
704.10M
3.20%
682.90M
5.56%
793.20M
3.68%
778.50M
4.39%
772.60M
-9.26%
661.70M
5.83%
751.40M
--
750.90M
--
740.10M
--
729.20M
--
710.00M
-Depreciación acumulada
-10.04%
454.20M
-12.90%
434.00M
1.05%
421.60M
3.65%
516.20M
1.65%
504.90M
1.69%
498.30M
-13.25%
417.20M
6.07%
498.00M
--
496.70M
--
490.00M
--
480.90M
--
469.50M
Fondo de comercio y otros activos intangibles
-14.19%
841.00M
-11.03%
826.70M
23.81%
821.50M
29.55%
980.40M
28.35%
980.10M
21.67%
929.20M
-13.00%
663.50M
0.83%
756.80M
--
763.60M
--
763.70M
--
762.60M
--
750.60M
Otros activos no actuales
7.65%
154.80M
6.38%
151.80M
1.43%
155.90M
21.71%
149.70M
12.78%
143.80M
9.68%
142.70M
24.05%
153.70M
-47.79%
123.00M
--
127.50M
--
130.10M
--
123.90M
--
235.60M
Total de activos no actuales
-9.05%
1.27B
-7.25%
1.25B
-1.74%
1.24B
24.17%
1.41B
22.02%
1.40B
17.69%
1.35B
-52.24%
1.26B
-7.62%
1.13B
--
1.15B
--
1.14B
--
2.64B
--
1.23B
Total de activos
0.39%
2.52B
8.42%
2.62B
12.35%
2.64B
20.99%
2.65B
15.03%
2.51B
8.37%
2.42B
-46.46%
2.35B
2.90%
2.19B
--
2.18B
--
2.23B
--
4.39B
--
2.13B
Pasivos
Pasivos corrientes
-Otros por pagar
--
7.80M
--
7.80M
-9.20%
7.90M
--
--
--
--
--
--
--
8.70M
--
--
--
--
--
0.00
--
--
--
0.00
Gastos acumulados
0.18%
167.40M
22.61%
184.40M
26.70%
253.90M
40.60%
247.60M
-2.22%
167.10M
-2.91%
150.40M
0.45%
200.40M
5.64%
176.10M
--
170.90M
--
154.90M
--
199.50M
--
166.70M
Deuda a corto plazo y pasivos por arrendamiento
-63.69%
47.20M
124.64%
247.10M
--
--
--
85.00M
--
130.00M
--
110.00M
--
--
-100.00%
0.00
--
0.00
--
0.00
--
399.60M
--
399.50M
-Deuda a corto plazo
--
--
--
--
--
--
--
85.00M
--
130.00M
--
110.00M
--
--
-100.00%
0.00
--
0.00
--
0.00
--
399.60M
--
399.50M
Pasivos diferidos
-26.92%
36.10M
-24.38%
39.40M
-11.46%
36.30M
1.35%
52.50M
-0.60%
49.40M
1.96%
52.10M
-17.00%
41.00M
19.35%
51.80M
--
49.70M
--
51.10M
--
49.40M
--
43.40M
Otros pasivos corrientes
-11.13%
43.90M
-9.40%
47.20M
-26.96%
36.30M
1.35%
52.50M
-0.60%
49.40M
1.96%
52.10M
0.61%
49.70M
19.35%
51.80M
--
49.70M
--
51.10M
--
49.40M
--
43.40M
Total pasivos corrientes
-18.27%
425.50M
33.83%
659.50M
16.33%
543.40M
37.66%
572.10M
29.79%
520.60M
29.38%
492.80M
-68.61%
467.10M
-46.67%
415.60M
--
401.10M
--
380.90M
--
1.49B
--
779.30M
Pasivos no corrientes
Provisiones a largo plazo
-36.92%
64.40M
-37.94%
68.70M
-39.48%
69.60M
-19.55%
90.10M
-19.22%
102.10M
-17.26%
110.70M
-12.88%
115.00M
-31.37%
112.00M
--
126.40M
--
133.80M
--
132.00M
--
163.20M
Deuda a largo plazo y pasivos por arrendamiento
-100.00%
0.00
-100.00%
0.00
-0.60%
247.00M
-1.36%
246.90M
-5.87%
246.90M
--
246.80M
--
248.50M
--
250.30M
--
262.30M
--
0.00
--
0.00
--
0.00
-Deuda a largo plazo
-100.00%
0.00
-100.00%
0.00
-0.60%
247.00M
-1.36%
246.90M
-5.87%
246.90M
--
246.80M
--
248.50M
--
250.30M
--
262.30M
--
0.00
--
0.00
--
--
Beneficios de empleado
-36.92%
64.40M
-37.94%
68.70M
-39.48%
69.60M
-19.55%
90.10M
-19.22%
102.10M
-17.26%
110.70M
-12.88%
115.00M
-31.37%
112.00M
--
126.40M
--
133.80M
--
132.00M
--
163.20M
Otros pasivos no corrientes
-23.51%
164.00M
-24.96%
167.50M
-20.21%
175.70M
-2.62%
204.20M
-4.63%
214.40M
-7.08%
223.20M
1.38%
220.20M
-22.48%
209.70M
--
224.80M
--
240.20M
--
217.20M
--
270.50M
Total pasivos no corrientes
-60.33%
202.50M
-60.78%
203.40M
-12.69%
457.50M
2.67%
502.90M
-5.55%
510.40M
80.13%
518.60M
-47.57%
524.00M
47.26%
489.80M
--
540.40M
--
287.90M
--
999.40M
--
332.60M
Total pasivos
-39.09%
628.00M
-14.68%
862.90M
0.99%
1.00B
18.73%
1.07B
9.51%
1.03B
51.23%
1.01B
-60.16%
991.10M
-18.57%
905.40M
--
941.50M
--
668.80M
--
2.49B
--
1.11B
Capital de los accionistas
Capital ordinario
6.57%
497.90M
6.11%
486.10M
6.09%
482.80M
6.75%
474.50M
6.91%
467.20M
--
458.10M
1.99%
455.10M
--
444.50M
--
437.00M
--
--
--
446.20M
--
--
Ganancias retenidas
28.98%
1.38B
29.38%
1.31B
26.76%
1.22B
23.62%
1.14B
23.68%
1.07B
-47.21%
1.01B
-65.97%
960.70M
-35.38%
921.60M
--
868.10M
--
1.92B
--
2.82B
--
1.43B
Reservas de capital
7.41%
440.40M
6.88%
428.60M
6.86%
425.50M
7.63%
417.30M
7.81%
410.00M
--
401.00M
6.53%
398.20M
--
387.70M
--
380.30M
--
--
--
373.80M
--
--
Menos: Acciones en tesorería
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
--
--
864.30M
--
--
Pérdidas de ganancias que no afectan a las ganancias retenidas
105.18%
3.50M
39.23%
-40.90M
-6.72%
-61.90M
51.95%
-39.40M
3.29%
-67.60M
81.31%
-67.30M
88.48%
-58.00M
80.02%
-82.00M
--
-69.90M
--
-360.00M
--
-503.30M
--
-410.40M
Intereses no controladores
-4.17%
2.30M
-4.17%
2.30M
-8.00%
2.30M
4.17%
2.50M
0.00%
2.40M
-4.00%
2.40M
-3.85%
2.50M
-4.00%
2.40M
--
2.40M
--
2.50M
--
2.60M
--
2.50M
Capital total
27.98%
1.89B
25.03%
1.76B
20.64%
1.64B
22.57%
1.58B
19.24%
1.48B
-9.98%
1.41B
-28.56%
1.36B
26.35%
1.29B
--
1.24B
--
1.56B
--
1.90B
--
1.02B
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
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