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Markets
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nasdaq-crdo
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Credo Technology Group Holding Ltd
CRDO
101.060
USD
-1.530
-1.49%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
17.30B
Market Cap
336.51
P/E TTM
Credo Technology Group Holding Ltd
101.060
-1.530
-1.49%
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
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
Total equity
Cash, cash equivalents and short-term investments
5.20%
431.34M
-7.31%
379.21M
59.22%
382.95M
67.79%
398.62M
88.24%
410.00M
75.59%
409.13M
-0.01%
240.51M
-2.55%
237.57M
-16.01%
217.81M
-3.13%
233.01M
238.57%
240.54M
143.25%
243.78M
--
259.32M
--
240.53M
--
71.05M
--
100.22M
- Cash and cash equivalents
253.03%
236.33M
211.44%
299.21M
85.48%
239.24M
-18.22%
103.90M
-38.35%
66.94M
-22.39%
96.07M
-32.31%
128.99M
-47.89%
127.05M
-58.13%
108.58M
-48.54%
123.78M
168.19%
190.54M
143.25%
243.78M
--
259.32M
--
240.53M
--
71.05M
--
100.22M
-Short-term investments
-43.16%
195.01M
-74.45%
80.00M
28.86%
143.72M
166.65%
294.72M
214.08%
343.06M
186.61%
313.06M
123.05%
111.53M
--
110.53M
--
109.23M
--
109.23M
--
50.00M
--
--
--
--
--
--
--
--
--
--
Receivables
99.63%
162.14M
172.41%
170.72M
127.30%
101.75M
167.27%
96.26M
37.70%
81.22M
0.41%
62.67M
-23.09%
44.77M
-40.76%
36.02M
48.27%
58.99M
97.30%
62.41M
44.28%
58.20M
266.17%
60.80M
--
39.78M
--
31.63M
--
40.34M
--
16.60M
-Accounts and notes receivable
171.77%
162.14M
251.06%
157.13M
149.90%
81.78M
156.94%
71.86M
20.43%
59.66M
3.69%
44.76M
-36.79%
32.72M
-48.94%
27.97M
67.80%
49.54M
99.00%
43.17M
78.64%
51.77M
914.62%
54.77M
--
29.52M
--
21.69M
--
28.98M
--
5.40M
-Loans receivable
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
188.00K
--
140.00K
--
5.90M
--
5.84M
-Other receivables
--
--
-24.14%
13.59M
65.89%
19.98M
203.18%
24.40M
128.29%
21.56M
-6.94%
17.91M
87.16%
12.04M
33.53%
8.05M
-6.22%
9.45M
96.36%
19.25M
17.80%
6.43M
12.34%
6.03M
--
10.07M
--
9.80M
--
5.46M
--
5.37M
Inventory
247.51%
90.03M
68.95%
53.23M
1.54%
36.31M
-22.64%
31.56M
-43.71%
25.91M
-37.38%
31.51M
-25.23%
35.76M
10.16%
40.79M
68.35%
46.02M
92.62%
50.31M
124.69%
47.83M
177.43%
37.03M
--
27.34M
--
26.12M
--
21.29M
--
13.35M
Prepaid expenses
128.64%
30.02M
96.64%
15.99M
136.78%
17.23M
153.88%
15.92M
142.63%
13.13M
89.93%
8.13M
125.05%
7.28M
43.08%
6.27M
20.88%
5.41M
110.73%
4.28M
102.89%
3.23M
107.92%
4.38M
--
4.48M
--
2.03M
--
1.59M
--
2.11M
Other current assets
--
30.02M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
1.26M
--
1.48M
--
1.36M
--
1.28M
Total current assets
34.56%
713.53M
21.06%
619.15M
63.94%
538.25M
69.14%
542.35M
61.55%
530.26M
46.12%
511.44M
-6.14%
328.32M
-7.32%
320.65M
-1.19%
328.23M
15.98%
350.02M
157.91%
349.81M
159.06%
345.99M
--
332.18M
--
301.79M
--
135.63M
--
133.56M
Non-current assets
Net Fixed Assets
38.99%
78.86M
42.06%
83.15M
42.55%
83.42M
46.85%
86.10M
3.01%
56.74M
7.13%
58.53M
3.03%
58.52M
7.71%
58.63M
41.97%
55.08M
100.52%
54.64M
183.41%
56.80M
196.49%
54.44M
--
38.80M
--
27.25M
--
20.04M
--
18.36M
-Fixed Assets
43.99%
123.07M
49.18%
126.01M
49.91%
121.33M
49.92%
119.06M
16.92%
85.47M
20.56%
84.47M
15.98%
80.94M
21.89%
79.42M
50.30%
73.10M
93.42%
70.07M
149.51%
69.78M
156.82%
65.16M
--
48.63M
--
36.23M
--
27.97M
--
25.37M
-Accumulated depreciation
53.86%
44.20M
65.25%
42.86M
69.10%
37.92M
58.56%
32.96M
59.45%
28.73M
68.12%
25.94M
72.64%
22.42M
93.91%
20.79M
83.17%
18.02M
71.85%
15.43M
63.82%
12.99M
52.92%
10.72M
--
9.84M
--
8.98M
--
7.93M
--
7.01M
Other non-current assets
12.95%
16.86M
-21.68%
17.61M
-11.02%
16.88M
-0.09%
16.41M
6.80%
14.93M
78.62%
22.49M
155.40%
18.97M
214.53%
16.43M
274.56%
13.97M
280.62%
12.59M
46.91%
7.43M
75.94%
5.22M
--
3.73M
--
3.31M
--
5.06M
--
2.97M
Total non-current assets
33.57%
95.72M
24.37%
100.77M
29.44%
100.30M
36.58%
102.51M
3.78%
71.67M
20.52%
81.02M
20.65%
77.49M
25.81%
75.06M
58.71%
69.06M
107.29%
67.23M
138.17%
64.22M
157.30%
59.66M
--
43.51M
--
32.43M
--
26.97M
--
23.19M
Total assets
34.44%
809.26M
21.51%
719.92M
57.35%
638.55M
62.97%
644.87M
51.51%
601.93M
41.99%
592.47M
-1.99%
405.81M
-2.45%
395.70M
5.75%
397.29M
24.84%
417.25M
154.64%
414.03M
158.80%
405.65M
--
375.69M
--
334.23M
--
162.60M
--
156.75M
Liabilities
Current liabilities
-Other payables
63.83%
9.75M
15.66%
6.47M
11.24%
5.77M
28.55%
6.45M
39.38%
5.95M
41.98%
5.59M
43.43%
5.18M
53.58%
5.02M
--
4.27M
--
3.94M
80.75%
3.62M
--
3.27M
--
--
--
--
--
2.00M
--
--
Accrued expenses
106.68%
38.46M
95.98%
32.89M
88.46%
25.76M
66.42%
18.45M
42.43%
18.61M
49.56%
16.78M
-21.77%
13.67M
-10.73%
11.09M
-0.15%
13.07M
8.43%
11.22M
193.09%
17.47M
187.25%
12.42M
--
13.09M
--
10.35M
--
5.96M
--
4.32M
Deferred liabilities
--
--
-70.54%
1.39M
-57.64%
2.05M
-11.01%
2.92M
-3.42%
3.90M
33.50%
4.72M
247.88%
4.83M
9.12%
3.28M
227.39%
4.04M
-42.80%
3.54M
-75.09%
1.39M
20.98%
3.00M
--
1.23M
--
6.18M
--
5.58M
--
2.48M
Other current liabilities
-1.06%
9.75M
-23.80%
7.86M
-21.98%
7.81M
12.92%
9.37M
18.57%
9.85M
37.97%
10.32M
100.18%
10.02M
32.29%
8.30M
573.34%
8.31M
20.91%
7.48M
-33.94%
5.00M
152.60%
6.27M
--
1.23M
--
6.18M
--
7.58M
--
2.48M
Total current liabilities
141.40%
107.71M
100.84%
80.73M
33.33%
49.65M
122.42%
69.42M
43.79%
44.62M
-7.34%
40.20M
-24.75%
37.23M
-26.75%
31.21M
17.12%
31.03M
67.89%
43.38M
108.78%
49.48M
170.23%
42.61M
--
26.50M
--
25.84M
--
23.70M
--
15.77M
Non-current liabilities
Long-term debt and lease liabilities
14.01%
12.69M
11.68%
12.96M
11.50%
12.95M
10.90%
13.53M
-13.49%
11.13M
-14.16%
11.60M
-17.55%
11.61M
-14.63%
12.20M
-13.10%
12.87M
494.28%
13.51M
636.84%
14.08M
662.54%
14.29M
--
14.81M
--
2.27M
--
1.91M
--
1.87M
-Long-term lease liabilities
14.01%
12.69M
11.68%
12.96M
11.50%
12.95M
10.90%
13.53M
-13.49%
11.13M
-14.16%
11.60M
-17.55%
11.61M
-14.63%
12.20M
-13.10%
12.87M
494.28%
13.51M
636.84%
14.08M
662.54%
14.29M
--
14.81M
--
2.27M
--
1.91M
--
1.87M
Other non-current liabilities
21.57%
7.27M
19.40%
8.00M
8.66%
8.05M
81.57%
8.82M
3.96%
5.98M
15.49%
6.70M
16.45%
7.41M
-29.09%
4.86M
2515.00%
5.75M
1271.63%
5.80M
1394.13%
6.37M
1745.82%
6.85M
--
220.00K
--
423.00K
--
426.00K
--
371.00K
Total non-current liabilities
16.65%
19.96M
14.51%
20.96M
10.39%
21.00M
31.02%
22.35M
-8.10%
17.11M
-5.25%
18.30M
-6.96%
19.02M
-19.31%
17.06M
23.91%
18.62M
616.20%
19.32M
774.88%
20.45M
841.56%
21.14M
--
15.03M
--
2.70M
--
2.34M
--
2.25M
Total liabilities
106.81%
127.67M
73.83%
101.69M
25.57%
70.64M
90.12%
91.76M
24.33%
61.73M
-6.70%
58.50M
-19.55%
56.26M
-24.28%
48.27M
19.57%
49.65M
119.71%
62.70M
168.57%
69.93M
253.90%
63.74M
--
41.53M
--
28.54M
--
26.04M
--
18.01M
Shareholders' equity
Common equity
13.18%
765.18M
12.02%
738.38M
50.88%
717.33M
49.71%
698.36M
48.65%
676.06M
47.91%
659.17M
8.45%
475.42M
7.86%
466.47M
7.12%
454.80M
14.06%
445.66M
2635.47%
438.36M
2960.51%
432.48M
--
424.57M
--
390.74M
--
16.02M
--
14.13M
Preferred equity
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
205.21M
--
205.21M
Retained earnings
38.56%
-83.16M
4.10%
-119.75M
-19.01%
-149.11M
-22.09%
-144.88M
-26.52%
-135.34M
-37.16%
-124.87M
-33.49%
-125.30M
-31.13%
-118.67M
-18.30%
-106.98M
-7.01%
-91.04M
-10.52%
-93.86M
-11.97%
-90.50M
--
-90.43M
--
-85.07M
--
-84.93M
--
-80.83M
Capital reserves
13.18%
765.17M
12.02%
738.37M
50.88%
717.32M
49.71%
698.35M
48.65%
676.05M
47.91%
659.16M
8.45%
475.41M
7.86%
466.46M
7.12%
454.80M
14.06%
445.65M
2635.94%
438.35M
2961.11%
432.47M
--
424.56M
--
390.73M
--
16.02M
--
14.13M
Gains losses not affecting retained earnings
15.80%
-437.00K
-20.30%
-403.00K
46.18%
-310.00K
-6.23%
-375.00K
-171.73%
-519.00K
-385.51%
-335.00K
-46.56%
-576.00K
-383.56%
-353.00K
-930.43%
-191.00K
-413.64%
-69.00K
-254.72%
-393.00K
-132.88%
-73.00K
--
23.00K
--
22.00K
--
254.00K
--
222.00K
Total equity
26.17%
681.58M
15.78%
618.23M
62.47%
567.91M
59.19%
553.10M
55.39%
540.20M
50.60%
533.97M
1.58%
349.55M
1.62%
347.44M
4.03%
347.63M
15.98%
354.55M
151.98%
344.10M
146.45%
341.90M
--
334.16M
--
305.69M
--
136.56M
--
138.73M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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