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Crane Co

CR
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179.830USD
-0.750-0.42%
Market hours ETQuotes delayed by 15 min
10.38BMarket Cap
31.70P/E TTM
You can check out the annual or quarterly balance sheets of Crane Co here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
Total equity
Cash, cash equivalents and short-term investments
-18.32%355.40M
65.15%506.50M
50.35%388.20M
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
- Cash and cash equivalents
-18.32%355.40M
65.15%506.50M
50.35%388.20M
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
Receivables
49.40%574.30M
5.78%358.70M
-2.07%387.90M
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
-Accounts and notes receivable
28.46%493.80M
5.78%358.70M
-2.07%387.90M
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
-Other receivables
--80.50M
----
----
----
----
----
----
----
----
----
--73.60M
--64.40M
--62.60M
--56.80M
--0.00
Inventory
29.49%507.10M
-1.03%376.50M
-0.85%394.70M
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
Other current assets
-72.35%44.90M
735.76%1.33B
-43.09%109.50M
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 current assets
7.88%1.48B
83.25%2.57B
2.85%1.28B
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
Non-current assets
Net Fixed Assets
36.13%367.70M
6.70%278.80M
0.51%278.40M
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
-Fixed Assets
19.54%841.70M
9.24%746.00M
-6.98%737.80M
-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
-Accumulated depreciation
9.22%474.00M
10.82%467.20M
-11.00%459.40M
-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
Goodwill and other intangible assets
143.58%2.01B
1.45%833.40M
-14.65%836.80M
-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
Other non-current assets
24.24%188.60M
8.92%169.80M
2.54%153.50M
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 non-current assets
105.83%2.57B
3.50%1.28B
-9.84%1.27B
-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 assets
54.52%4.05B
45.86%3.85B
-3.88%2.55B
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
Liabilities
Current liabilities
-Other payables
5.13%8.20M
-1.27%7.80M
--7.80M
--7.80M
--7.80M
-9.20%7.90M
----
----
----
--8.70M
----
----
--0.00
----
--0.00
Accrued expenses
10.57%203.90M
-20.48%201.90M
-31.79%168.90M
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
Short-term debt and lease liabilities
-97.73%5.60M
----
----
-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
-Short-term debt
--5.60M
----
----
----
----
----
--85.00M
--130.00M
--110.00M
----
-100.00%0.00
--0.00
--0.00
--399.60M
--399.50M
Deferred liabilities
50.25%59.20M
26.72%46.00M
-22.10%40.90M
-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
Other current liabilities
42.80%67.40M
48.21%53.80M
-7.24%48.70M
-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 current liabilities
-21.12%520.20M
-14.39%465.20M
-31.48%392.00M
-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
Non-current liabilities
Long-term provisions
-39.30%41.70M
-38.22%43.00M
-42.40%51.90M
-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
Long-term debt and lease liabilities
--1.19B
364.86%1.15B
-100.00%0.00
-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
-Long-term debt
--1.19B
364.86%1.15B
-100.00%0.00
-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
----
Employee benefits
-39.30%41.70M
-38.22%43.00M
-42.40%51.90M
-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
Other non-current liabilities
-20.18%133.70M
-25.61%130.70M
-26.40%150.30M
-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 non-current liabilities
604.18%1.43B
189.57%1.32B
-62.52%188.50M
-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 liabilities
126.27%1.95B
78.84%1.79B
-46.00%580.50M
-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
Shareholders' equity
Common equity
4.75%509.20M
5.55%509.60M
6.47%505.20M
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
----
Retained earnings
20.75%1.58B
25.76%1.53B
28.41%1.46B
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
Capital reserves
5.34%451.50M
6.23%452.00M
7.26%447.60M
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
----
Less: Treasury stock
----
----
----
----
----
----
----
----
----
----
----
--0.00
----
--864.30M
----
Gains losses not affecting retained earnings
109.29%3.80M
132.31%20.00M
94.92%-2.00M
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
Non-controlling interests
0.00%2.30M
0.00%2.30M
-8.00%2.30M
-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
Total equity
19.33%2.10B
25.74%2.06B
24.83%1.97B
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
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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