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Creative Realities Inc

CREX
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3.140USD
+0.120+3.97%
Close 07-31 16:00ETQuotes delayed by 15 min
41.13MMarket Cap
LossP/E TTM

CREX Financials

See Creative Realities Inc's financials through an all-in-one data dashboard designed for smart investors. This provides you with financial analysis by organizing complex financial statements into customizable views. Access the latest annual financial report or break down performance quarter-by-quarter using the income statement, balance sheet, and cash flow statement. With real-time financial indicators at your fingertips, monitoring a company's market health over time has never been easier.

Creative Realities Inc Earnings Date

Latest Release
May 15, 2026
EPS / Forecast
-0.74/-0.47
Revenue / Forecast
16.35M/16.52M
Period
FY2025 Earnings
Revenue(YoY)
57.23M
12.54%
EPS(YoY)
-0.81
-141.26%
Analyst Rating
BUY
2026/07/31
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
Financial Indicators
EPS
-330.81%-0.74
23.12%-0.21
-14556.67%-0.75
-194.05%-0.17
3182.12%0.32
-302.78%-0.27
102.33%0.01
69.40%-0.06
92.31%-0.01
122.31%0.13
---0.22
---0.19
---0.14
---0.60
----
----
----
----
----
----
Revenue
67.95%16.35M
117.23%23.92M
-26.97%10.55M
-0.65%13.03M
-20.77%9.73M
-23.83%11.01M
24.84%14.44M
42.62%13.12M
23.54%12.29M
37.83%14.46M
3.47%11.57M
-15.81%9.20M
-7.56%9.94M
94.15%10.49M
135.22%11.18M
233.32%10.92M
114.97%10.76M
8.28%5.40M
-6.93%4.75M
-10.37%3.28M
Net Profit
-333.14%-7.85M
22.59%-2.20M
-14659.26%-7.86M
-195.45%-1.82M
3189.91%3.37M
-300.00%-2.84M
102.80%54.00K
56.84%-615.00K
89.10%-109.00K
206.37%1.42M
-248.56%-1.93M
-212.92%-1.43M
-139.97%-1.00M
22.53%-1.33M
-61.52%-554.00K
23.12%1.26M
96.70%2.50M
-179.09%-1.72M
41.37%-343.00K
141.68%1.02M
Net Margin
-231.90%-45.64%
68.13%-8.21%
-20035.95%-74.54%
-197.37%-13.94%
3999.69%34.60%
-362.59%-25.77%
102.24%0.37%
69.74%-4.69%
91.18%-0.89%
177.18%9.81%
---16.69%
---15.50%
---10.06%
---12.72%
----
----
----
----
----
----
Gross Margin
-25.17%34.23%
8.39%47.94%
-0.73%45.29%
-25.61%38.50%
14.11%45.75%
-4.07%44.22%
17.65%45.62%
35.95%51.76%
-7.51%40.09%
24.06%46.10%
--38.78%
--38.07%
--43.34%
--37.16%
----
----
----
----
----
----
Debt to assets ratio
41.82%49.19%
9.52%43.43%
12.25%36.18%
-8.57%31.57%
1.23%34.69%
107.61%39.65%
51.90%32.23%
39.87%34.53%
28.45%34.27%
-28.24%19.10%
--21.22%
--24.68%
--26.68%
--26.62%
----
----
----
----
----
----
Revenue
67.95%16.35M
117.23%23.92M
-26.97%10.55M
-0.65%13.03M
-20.77%9.73M
-23.83%11.01M
24.84%14.44M
42.62%13.12M
23.54%12.29M
37.83%14.46M
3.47%11.57M
-15.81%9.20M
-7.56%9.94M
94.15%10.49M
135.22%11.18M
233.32%10.92M
114.97%10.76M
8.28%5.40M
-6.93%4.75M
-10.37%3.28M
Operating profit
-759.56%-6.21M
164.01%457.00K
-237.15%-1.56M
-324.83%-1.33M
-850.00%-722.00K
-136.13%-714.00K
610.00%1.14M
184.57%592.00K
15.56%-76.00K
270.64%1.98M
191.95%160.00K
-1144.78%-700.00K
85.55%-90.00K
-15.45%-1.16M
56.93%-174.00K
116.30%67.00K
-192.49%-623.00K
-1.93%-1.00M
4.27%-404.00K
75.00%-411.00K
Net Profit
-333.14%-7.85M
22.59%-2.20M
-14659.26%-7.86M
-195.45%-1.82M
3189.91%3.37M
-300.00%-2.84M
102.80%54.00K
56.84%-615.00K
89.10%-109.00K
206.37%1.42M
-248.56%-1.93M
-212.92%-1.43M
-139.97%-1.00M
22.53%-1.33M
-61.52%-554.00K
23.12%1.26M
96.70%2.50M
-179.09%-1.72M
41.37%-343.00K
141.68%1.02M
Current assets
54.58%26.09M
131.41%33.55M
6.44%16.99M
-25.22%13.11M
3.44%16.88M
-22.11%14.50M
-8.81%15.96M
49.98%17.54M
25.16%16.32M
33.10%18.61M
35.19%17.51M
-32.00%11.69M
-31.90%13.04M
43.08%13.98M
43.70%12.95M
99.06%17.19M
88.56%19.14M
39.06%9.77M
20.79%9.01M
22.84%8.64M
Total current liabilities
159.12%35.62M
50.11%39.27M
-40.16%16.47M
-51.25%13.03M
-64.51%13.75M
29.54%26.16M
39.94%27.52M
50.46%26.73M
129.76%38.73M
22.44%20.20M
46.34%19.66M
7.37%17.76M
0.02%16.86M
140.50%16.50M
128.60%13.44M
257.86%16.54M
109.93%16.86M
-6.46%6.86M
-60.77%5.88M
-71.54%4.62M
Total assets
106.37%138.25M
131.62%151.04M
-9.32%61.27M
-8.48%63.65M
-1.78%66.99M
-7.87%65.21M
-3.05%67.56M
8.79%69.55M
4.77%68.21M
7.21%70.78M
7.69%69.69M
-6.69%63.93M
3.54%65.10M
188.51%66.02M
197.11%64.71M
217.58%68.52M
168.34%62.88M
10.98%22.88M
3.22%21.78M
-0.97%21.57M
Total liabilities
161.60%97.11M
156.24%101.85M
0.28%39.38M
-17.20%34.21M
-5.68%37.12M
-5.24%39.75M
-7.14%39.27M
3.10%41.32M
-1.66%39.36M
3.73%41.95M
10.38%42.29M
-4.76%40.08M
-8.67%40.02M
185.73%40.44M
218.83%38.31M
254.54%42.08M
189.27%43.82M
-13.09%14.15M
-28.99%12.02M
-36.29%11.87M
Total equity
37.72%41.14M
93.19%49.19M
-22.64%21.89M
4.27%29.44M
3.54%29.87M
-11.69%25.46M
3.25%28.29M
18.35%28.24M
15.02%28.85M
12.71%28.83M
3.79%27.40M
-9.76%23.86M
31.59%25.08M
193.03%25.58M
170.37%26.40M
172.38%26.44M
130.05%19.06M
101.36%8.73M
133.67%9.77M
207.54%9.71M
Net operating income
29.64%-1.72M
-405.19%-6.92M
-395.40%-1.61M
42.06%3.22M
-226.37%-2.45M
56.39%-1.37M
-72.27%544.00K
-8.40%2.27M
-49.90%1.94M
-1017.84%-3.14M
298.78%1.96M
295.89%2.48M
222.06%3.87M
-59.19%342.00K
-24575.00%-987.00K
-269.59%-1.26M
5819.05%1.20M
44.48%838.00K
99.67%-4.00K
87.78%-342.00K
Net investment
11.11%-552.00K
-7616.23%-38.50M
12.14%-709.00K
3.31%-643.00K
25.18%-621.00K
43.87%-499.00K
13.69%-807.00K
43.11%-665.00K
19.73%-830.00K
26.35%-889.00K
-29.50%-935.00K
25.87%-1.17M
94.25%-1.03M
-66.02%-1.21M
-216.67%-722.00K
-1671.91%-1.58M
-15525.22%-17.97M
-641.84%-727.00K
-50.99%-228.00K
36.43%-89.00K
Net financing
-20.96%2.52M
2190.38%46.66M
169.75%2.06M
-659.38%-3.16M
384.36%3.18M
241.66%2.04M
-172.34%-2.96M
78.64%-416.00K
-99.11%-1.12M
-185.65%-1.44M
1409.29%4.08M
-534.53%-1.95M
-102.83%-562.00K
--1.68M
---312.00K
-207.00%-307.00K
977.13%19.87M
-100.00%0.00
-100.00%0.00
-106.00%-100.00K

FAQs

What is the total revenue of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its total revenue reached 57.23M, with a year-on-year change of 50.85M.

What are the current assets of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its current assets were 33.55M, with a year-on-year change of 131.41.

What are the total assets of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its total assets of Creative Realities Inc were 151.04M, with a year-on-year change of 131.62.

What are the total liabilities of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its total liabilities of Creative Realities Inc were 101.85M, with a year-on-year change of 156.24.

What is the total equity of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its total equity of Creative Realities Inc was 49.19M, with a year-on-year change of 93.19.

What is the net operating income of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its net operating income of Creative Realities Inc was -3.15M, with a year-on-year change of -436.25.

What is the net investment of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its net investment of Creative Realities Inc was -40.48M, with a year-on-year change of -1345.09.

What is the net financing of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its net financing of Creative Realities Inc was 48.74M, with a year-on-year change of 2086.91.

What is the Earnings Per Share (EPS) of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its Earnings Per Share (EPS) was -0.81, with a year-on-year change of -141.26.

What is the net income of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its net income was -8.51M, with a year-on-year change of -142.53.

What is the net margin of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its net profit margin was -14.46, with a year-on-year change of -109.63.

What is the gross margin of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its gross margin was 44.93, with a year-on-year change of -4.84.

What is the debt-to-asset ratio of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its debt-to-asset ratio was 43.43, with a year-on-year change of 9.04.

What is the Return on Equity (ROE) of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its Return on Equity (ROE) was -36.24, with a year-on-year change of -180.41.

What is the Return on Assets (ROA) of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its Return on Assets (ROA) was -7.65, with a year-on-year change of -48.35.

What is the operating profit of Creative Realities Inc?

According to Creative Realities Inc's FY2025 earnings report, its operating profit was -3.15M, with a year-on-year change of -436.25.
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