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Markets
/
Stocks
/
nasdaq-cr
/
Crane Co
CR
193.960
USD
-0.690
-0.35%
Close 08/08, 16:00(ET)
Quotes delayed by 15 min
USD
0.000
After-hours (ET)
11.16B
Market Cap
33.11
P/E TTM
Crane Co
193.960
-0.690
-0.35%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
Operating cash flows (indirect method)
Cash flow from continuing operating activities
34.84%
-46.20M
51.33%
194.00M
-5.98%
81.70M
233.33%
62.00M
32.73%
-70.90M
17.40%
128.20M
115.05%
86.90M
-57.34%
18.60M
-41.86%
-105.40M
239.13%
109.20M
--
-577.30M
--
43.60M
--
-74.30M
--
32.20M
Net income from continuing operations
65.28%
107.10M
153.49%
54.50M
40.04%
77.30M
91.44%
71.60M
15.92%
64.80M
182.89%
21.50M
158.79%
55.20M
-81.17%
37.40M
3.33%
55.90M
249.02%
7.60M
--
-93.90M
--
198.60M
--
54.10M
--
-5.10M
Operating gains losses
5.04%
12.50M
62.50%
10.40M
47.87%
13.90M
38.00%
13.80M
29.35%
11.90M
100.00%
6.40M
-2.08%
9.40M
-18.03%
10.00M
5.75%
9.20M
-58.97%
3.20M
--
9.60M
--
12.20M
--
8.70M
--
7.80M
Deferred tax
100.00%
0.00
45.28%
-11.60M
-100.00%
0.00
98.36%
-100.00K
-293.75%
-3.10M
-13.37%
-21.20M
116.80%
6.20M
-119.12%
-6.10M
-71.43%
1.60M
26.09%
-18.70M
--
-36.90M
--
31.90M
--
5.60M
--
-25.30M
Other non-cash items
-0.90%
-146.30M
13.78%
133.80M
-279.27%
-14.70M
-542.55%
-30.20M
18.40%
-145.00M
9.80%
117.60M
101.80%
8.20M
98.07%
-4.70M
-1368.60%
-177.70M
136.95%
107.10M
--
-456.60M
--
-243.90M
--
-12.10M
--
45.20M
Change in working capital
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-173.30%
-28.00M
--
--
--
--
--
--
--
38.20M
--
-134.40M
--
--
-Change in receivables
--
--
--
--
--
--
--
--
--
--
--
--
--
--
404.08%
14.90M
--
--
--
--
--
--
--
-4.90M
--
-58.20M
--
--
-Change in inventory
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-23.56%
-25.70M
--
--
--
--
--
--
--
-20.80M
--
-33.90M
--
--
-Change in other current assets
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-33.33%
-8.80M
--
--
--
--
--
--
--
-6.60M
--
900.00K
--
--
Cash from non-recurring investing activities
Cash from operating activities
34.84%
-46.20M
51.33%
194.00M
-5.98%
81.70M
233.33%
62.00M
32.73%
-70.90M
17.40%
128.20M
115.05%
86.90M
-57.34%
18.60M
-41.86%
-105.40M
239.13%
109.20M
--
-577.30M
--
43.60M
--
-74.30M
--
32.20M
Investing cash flow
Net cash from continuing investing activities
77.50%
14.20M
19.35%
11.10M
1.12%
9.00M
-38.33%
7.40M
-10.11%
8.00M
6.90%
9.30M
27.14%
8.90M
71.43%
12.00M
-15.24%
8.90M
-78.14%
8.70M
--
7.00M
--
7.00M
--
10.50M
--
39.80M
Capital expenditures
77.50%
14.20M
19.35%
11.10M
1.12%
9.00M
-38.33%
7.40M
-10.11%
8.00M
6.90%
9.30M
25.35%
8.90M
71.43%
12.00M
-15.24%
8.90M
-78.14%
8.70M
--
7.10M
--
7.00M
--
10.50M
--
39.80M
Net cash flow from disposal of fixed assets
77.50%
14.20M
19.35%
11.10M
1.12%
9.00M
-38.33%
7.40M
-10.11%
8.00M
6.90%
9.30M
27.14%
8.90M
71.43%
12.00M
-15.24%
8.90M
-78.14%
8.70M
--
7.00M
--
7.00M
--
10.50M
--
39.80M
Net cash flow from business transactions
99.81%
-200.00K
57.13%
-38.80M
--
4.60M
--
-60.70M
--
-105.60M
--
-90.50M
--
--
--
--
--
0.00
--
0.00
--
3.80M
--
314.30M
--
--
--
0.00
Net cash flow from investment products
--
--
--
--
--
--
--
--
--
--
100.00%
0.00
--
--
--
--
--
--
--
-100.00K
--
--
--
--
--
--
--
0.00
Net cash flow from other investing activities
-100.00%
0.00
1400.00%
1.50M
-116.67%
-100.00K
--
5.50M
0.00%
200.00K
-97.22%
100.00K
--
600.00K
--
--
--
200.00K
-84.68%
3.60M
--
--
--
--
--
--
--
23.50M
Cash from non-current investing activities
Net cash flow from investing activities
87.30%
-14.40M
51.45%
-48.40M
45.78%
-4.50M
-421.67%
-62.60M
-1203.45%
-113.40M
-1817.31%
-99.70M
-159.38%
-8.30M
-103.90%
-12.00M
17.14%
-8.70M
68.10%
-5.20M
--
-3.20M
--
307.30M
--
-10.50M
--
-16.30M
Financing cash flow
Cash flow from continuous financing activities
-126.85%
-23.60M
-1156.00%
-94.20M
-174.13%
-55.10M
103.44%
11.70M
229.65%
87.90M
92.57%
-7.50M
-105.87%
-20.10M
-582.13%
-339.70M
20.98%
-67.80M
61.49%
-101.00M
--
342.60M
--
-49.80M
--
-85.80M
--
-262.30M
Net cash flow from debt Issuance/repayment
-100.00%
0.00
-4622.22%
-85.00M
-278.15%
-45.00M
-96.74%
20.00M
316.20%
108.10M
-100.94%
-1.80M
-104.25%
-11.90M
3881.17%
613.10M
-148.08%
-50.00M
--
192.40M
--
280.00M
--
15.40M
--
104.00M
--
0.00
Cash dividend payments
12.82%
13.20M
14.56%
11.80M
14.71%
11.70M
-98.10%
11.70M
-56.02%
11.70M
-90.27%
10.30M
--
10.20M
--
614.90M
--
26.60M
5.27%
105.90M
--
--
--
--
--
--
--
100.60M
Proceeds from stock option exercised by employees
-22.35%
-10.40M
-57.38%
2.60M
-20.00%
1.60M
-75.18%
3.40M
-165.89%
-8.50M
-62.35%
6.10M
211.11%
2.00M
661.11%
13.70M
--
12.90M
14.08%
16.20M
--
-1.80M
--
1.80M
--
--
--
14.20M
Net cash flow from other financing activities
--
--
100.00%
0.00
--
0.00
100.00%
0.00
100.00%
0.00
99.26%
-1.50M
-100.00%
0.00
-424.78%
-351.60M
97.84%
-4.10M
-15.80%
-203.70M
--
64.40M
--
-67.00M
--
-189.80M
--
-175.90M
Net cash from non-recurrent financing activities
Net cash from financing activities
-126.85%
-23.60M
-1156.00%
-94.20M
-174.13%
-55.10M
103.44%
11.70M
229.65%
87.90M
92.57%
-7.50M
-105.87%
-20.10M
-582.13%
-339.70M
20.98%
-67.80M
61.49%
-101.00M
--
342.60M
--
-49.80M
--
-85.80M
--
-262.30M
Net cash flow
Beginning cash balance
-6.95%
306.70M
-5.70%
258.20M
4.75%
229.30M
-58.03%
219.40M
-49.88%
329.60M
-20.29%
273.80M
-60.15%
218.90M
71.26%
522.70M
74.29%
657.60M
-21.25%
343.50M
--
549.30M
--
305.20M
--
377.30M
--
436.20M
Current period cash flow changes
216.52%
128.40M
-10.39%
50.00M
-47.36%
28.90M
103.26%
9.90M
25.24%
-110.20M
-82.23%
55.80M
117.88%
54.90M
-187.96%
-303.80M
14.99%
-147.40M
640.80%
314.10M
--
-307.10M
--
345.40M
--
-173.40M
--
42.40M
Effect of exchange rate changes
232.43%
4.90M
-288.57%
-13.20M
288.89%
6.80M
0.00%
-1.20M
-192.50%
-3.70M
159.83%
7.00M
-224.14%
-3.60M
95.68%
-1.20M
242.86%
4.00M
-91.80%
-11.70M
--
2.90M
--
-27.80M
--
-2.80M
--
-6.10M
Ending cash balance
98.31%
435.10M
-6.49%
308.20M
-5.70%
258.20M
4.75%
229.30M
-57.00%
219.40M
-49.88%
329.60M
13.05%
273.80M
-66.35%
218.90M
150.22%
510.20M
37.40%
657.60M
--
242.20M
--
650.60M
--
203.90M
--
478.60M
Free cash flow
23.45%
-60.40M
53.83%
182.90M
-6.79%
72.70M
727.27%
54.60M
30.97%
-78.90M
18.31%
118.90M
113.35%
78.00M
-81.97%
6.60M
-34.79%
-114.30M
1422.37%
100.50M
--
-584.40M
--
36.60M
--
-84.80M
--
-7.60M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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