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Crawford-A

US · CRD.A #3621 by market cap
12.75 -0.02 -0.16%
Live - 5344 symbols - heartbeat 256s ago · 2026-10-07 19:54
After-hours 12.75 0.00%
Market cap
606.79M
P/B
3.26
EPS
0.39
Reader sentiment Are you bullish or bearish on CRD.A?

Anonymous reader poll. Unscientific, not investment advice.

✦ Quant Financial Health how this is computed

Good
  • Altman Z-Score is 3.14, above the 3.0 "safe zone" threshold.
  • Most reliable for industrial/manufacturing companies; less meaningful for banks, insurers and other financials.

Revenue annual, last 8 years

Latest year -2.25% YoY

Margins

Gross margin
28.00%
Operating margin
5.56%
Net margin
1.50%

Key ratios & quality

Altman Z-Score below ~1.8 suggests financial distress risk, above ~3.0 suggests low risk; the model is most reliable for industrial/manufacturing companies and less meaningful for banks and other financial firms.

Income statement

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Revenue 1.12B1.05B1.02B1.14B1.23B1.32B1.34B1.31B
Gross profit 314.97M294.85M278.88M291.80M306.35M359.07M367.55M367.09M
Selling & admin expenses 242.42M227.17M218.95M244.85M255.75M286.51M299.66M294.17M
Research & development ----------------
Operating profit 72.55M67.68M59.92M46.95M50.60M72.57M67.88M72.92M
Pretax profit 44.13M23.64M39.09M43.86M5.05M47.36M41.11M34.60M
Tax 18.54M14.11M12.01M13.32M23.58M17.10M14.58M14.92M
Net profit 25.59M9.53M27.08M30.55M-18.53M30.26M26.53M19.68M
Basic EPS 10110110
Diluted EPS 0.500.260.540.57-0.370.610.530.39

Balance sheet

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Total current assets 320.85M315.21M302.00M345.92M351.27M369.35M374.23M352.41M
Cash & ST investments 53.12M51.80M44.66M53.23M46.01M58.36M55.41M64.08M
Inventory ----------------
Total assets 701.44M760.01M752.98M852.64M791.51M799.20M803.76M764.30M
Total current liabilities 225.31M236.27M242.79M303.86M279.49M299.29M299.73M309.57M
Short-term debt 23.28M59.31M34.58M35.94M49.96M39.16M42.36M66.15M
Long-term debt 167.12M148.35M111.29M163.98M211.64M194.27M200.24M150.55M
Total liabilities 520,496,000.00595,136,000.00566,056,000.00641,242,000.00668,129,000.00659,368,000.00648,204,000.00592,868,000.00
Total equity 180.95M164.88M186.93M211.40M123.38M139.83M155.55M171.43M
Retained earnings 273.61M249.55M265.25M266.37M213.09M228.56M237.95M233.71M

Cash flow

Line item 2018 2019 2020 2021 2022 2023 2024 2025
Operating cash flow 52.42M75.22M93.18M54.32M27.63M103.79M51.62M101.85M
Depreciation & amortization 44.08M40.51M40.11M40.18M36.10M35.74M36.20M40.04M
Free cash flow 22.40M54.09M55.80M23.37M-6.97M67.19M9.97M63.30M
Dividends paid -13.53M-13.17M-9.65M-12.66M-11.84M-12.70M-13.76M-14.33M
Stock buybacks / issuance -10.41M-26.21M-2.67M-19.13M-26.75M-2.73M-3.87M-10.51M
Ending cash balance 53.12M51.80M44.66M53.69M46.65M59.55M56.33M64.55M

Returns & efficiency

Line item 2018 2019 2020 2021 2022 2023 2024 2025
ROE % 14.697.5516.3415.39-10.8823.0017.8011.89
ROA % 3.491.713.743.82-2.233.853.322.50
ROIC % 8.674.997.677.61-3.778.988.156.86
5-year avg ROE % 8.556.7716.3914.098.6210.2812.3311.44
EBIT margin % 4.943.364.654.464.115.104.584.01
FCF / sales % 1.995.165.492.05--5.100.744.83
Current ratio 1.421.331.241.141.261.231.251.14
Quick ratio 1.321.231.121.021.151.041.111.00
Debt / assets 27.1538.7931.8233.8643.7638.9838.5135.36
LT debt / equity 97.57147.80109.65119.23238.02192.32169.92117.93
Interest coverage 4.873.055.777.28--3.393.022.93
Revenue CAGR (3Y) % -3.29-3.82-4.420.485.539.035.592.11
Net income CAGR (3Y) % ---29.720.755.72--2.65-4.66--
FCF CAGR (3Y) % -7.97-8.09--1.42--6.39-24.71--

✦ Quant Revenue Concentration how this is computed

Diversified
  • International Operations is the largest reported line at 41.80% of revenue, across 4 reported segments.
  • No single line clears half of revenue; Broadspire is next at 33.16%, spreading the business across more than one real driver.

Revenue breakdown most recent period

Business

International Operations41.80%
Broadspire33.16%
U.S. Property & Casualty22.44%
Reimbursements2.60%

Quote time 2026-10-07 19:54:59 · For reference only, not investment advice and not tailored to your situation.