US Stock MarketDetailed Quotes

CRD.B Crawford-B

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  • 10.300
  • +0.060+0.59%
Close May 7 16:00 ET
  • 10.300
  • 0.0000.00%
Post 20:01 ET
509.37MMarket Cap16.89P/E (TTM)

Crawford-B Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
29.69%-13.92M
-50.27%51.62M
13.48%40.53M
-52.71%19.35M
-58.17%11.55M
-4,350.11%-19.8M
275.59%103.79M
-18.52%35.71M
1,288.15%40.91M
1,004.12%27.61M
Net income from continuing operations
142.53%6.74M
-12.33%26.53M
692.62%5.86M
-22.89%9.39M
1.88%8.5M
-74.10%2.78M
263.29%30.26M
93.07%-989K
179.82%12.17M
42.97%8.35M
Operating gains losses
796.30%564K
-84.21%102K
-64.55%195K
35.00%-13K
-98.96%1K
-505.00%-81K
143.36%646K
663.89%550K
-11.11%-20K
-52.71%96K
Depreciation and amortization
3.74%9.65M
1.27%36.2M
10.15%9.24M
-3.31%8.81M
-3.75%8.85M
2.75%9.3M
-0.99%35.74M
-3.81%8.39M
2.13%9.11M
-1.76%9.19M
Deferred tax
----
79.36%-2.53M
----
----
----
----
-266.00%-12.28M
----
----
----
Other non cash items
140.40%363K
-127.30%-1.1M
-51.57%448K
-200.05%-2.13M
-40.69%430K
-39.11%151K
37.80%4.03M
384.62%925K
139.80%2.13M
139.27%725K
Change In working capital
1.63%-32.63M
-133.53%-13.34M
-32.71%25.37M
-85.57%2.3M
-202.23%-7.84M
-54.16%-33.17M
198.28%39.79M
-9.23%37.7M
144.77%15.94M
151.32%7.67M
-Change in receivables
36.14%-2.04M
-203.78%-24.43M
-126.91%-7.92M
-96.49%259K
-95.87%-13.57M
49.62%-3.2M
167.54%23.54M
1,578.99%29.43M
212.81%7.39M
65.07%-6.93M
-Change in prepaid assets
-66.63%-2.74M
92.16%-555K
243.32%2.16M
-37.05%-6.68M
124.67%5.61M
48.55%-1.65M
-174.05%-7.08M
-111.52%-1.51M
-124.00%-4.87M
-46.76%2.5M
-Change in payables and accrued expense
3.39%-28.39M
249.91%15.23M
2,719.36%27.38M
31.22%8.61M
-44.43%8.63M
-57.09%-29.38M
159.20%4.35M
-93.50%971K
166.41%6.56M
115.03%15.53M
-Change in other working capital
-48.58%544K
-118.88%-3.58M
-57.32%3.76M
-98.38%111K
-148.48%-8.51M
-84.29%1.06M
342.01%18.98M
-43.26%8.8M
140.38%6.86M
51.25%-3.42M
Cash from discontinued investing activities
Operating cash flow
29.69%-13.92M
-50.27%51.62M
13.48%40.53M
-52.71%19.35M
-58.17%11.55M
-4,350.11%-19.8M
275.59%103.79M
-18.52%35.71M
1,288.15%40.91M
1,004.12%27.61M
Investing cash flow
Cash flow from continuing investing activities
4.58%-9.11M
-13.80%-41.65M
-36.90%-12.2M
-12.92%-11M
4.35%-8.9M
-10.52%-9.55M
36.77%-36.6M
7.95%-8.91M
-1.44%-9.74M
26.95%-9.3M
Capital expenditure reported
-4.00%-8.33M
-11.77%-35.44M
-21.68%-8.98M
-13.63%-9.42M
-7.14%-9.02M
-5.24%-8.01M
-14.21%-31.71M
5.68%-7.38M
-12.48%-8.29M
-33.96%-8.42M
Net PPE purchase and sale
35.50%-994K
-26.99%-6.21M
-110.33%-3.22M
-8.85%-1.57M
113.93%123K
-49.47%-1.54M
-28.48%-4.89M
17.52%-1.53M
22.26%-1.45M
50.48%-883K
Net business purchase and sale
----
--0
----
----
----
----
--0
----
----
----
Net other investing changes
--210K
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
4.58%-9.11M
-13.80%-41.65M
-36.90%-12.2M
-12.92%-11M
4.35%-8.9M
-10.52%-9.55M
36.77%-36.6M
7.95%-8.91M
-1.44%-9.74M
26.95%-9.3M
Financing cash flow
Cash flow from continuing financing activities
55.65%25.02M
76.48%-12.86M
-57.56%-26.17M
92.07%-2.35M
96.94%-418K
209.87%16.07M
-310.79%-54.68M
20.87%-16.61M
-3,803.63%-29.59M
-260.31%-13.67M
Net issuance payments of debt
35.68%28.51M
126.57%8.38M
-134.72%-20.63M
116.84%4.18M
154.04%3.81M
130.18%21.01M
-146.81%-31.55M
49.58%-8.79M
-725.85%-24.84M
-130.62%-7.05M
Net common stock issuance
--0
-41.60%-3.87M
87.76%-263K
-163.06%-1.53M
---1.34M
---733K
89.79%-2.73M
---2.15M
---582K
--0
Cash dividends paid
-0.35%-3.46M
-8.30%-13.76M
-0.53%-3.44M
-0.29%-3.44M
-17.34%-3.44M
-17.71%-3.44M
-7.25%-12.7M
-17.67%-3.42M
-18.11%-3.43M
-0.31%-2.93M
Proceeds from stock option exercised by employees
----
57.66%-174K
----
----
----
----
-451.28%-411K
----
----
----
Net other financing activities
95.03%-38K
52.71%-3.45M
9.32%-1.67M
-110.54%-1.56M
114.89%549K
24.88%-764K
-144.35%-7.29M
-137.28%-1.85M
-178.20%-740K
-299.35%-3.69M
Cash from discontinued financing activities
Financing cash flow
55.65%25.02M
76.48%-12.86M
-57.56%-26.17M
92.07%-2.35M
96.94%-418K
209.87%16.07M
-310.79%-54.68M
20.87%-16.61M
-3,803.63%-29.59M
-260.31%-13.67M
Net cash flow
Beginning cash position
-5.40%56.33M
27.66%59.55M
8.75%54.68M
-0.23%48.34M
6.19%46.66M
27.66%59.55M
-13.12%46.65M
48.41%50.28M
2.93%48.45M
-11.88%43.94M
Current changes in cash
114.92%1.98M
-123.09%-2.89M
-78.87%2.15M
280.48%6M
-51.93%2.23M
-240.60%-13.28M
390.89%12.51M
-22.54%10.19M
112.89%1.58M
371.32%4.65M
Effect of exchange rate changes
-173.35%-289K
-184.46%-326K
45.31%-507K
33.86%336K
-312.78%-549K
-67.03%394K
114.08%386K
-137.08%-927K
126.39%251K
87.67%-133K
End cash Position
24.35%58.02M
-5.40%56.33M
-5.40%56.33M
8.75%54.68M
-0.23%48.34M
6.19%46.66M
27.66%59.55M
27.66%59.55M
48.41%50.28M
2.93%48.45M
Free cash flow
20.81%-23.25M
-85.16%9.97M
5.69%28.32M
-73.21%8.35M
-85.52%2.65M
-223.06%-29.35M
1,064.74%67.19M
-21.51%26.8M
345.92%31.17M
428.84%18.31M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 29.69%-13.92M-50.27%51.62M13.48%40.53M-52.71%19.35M-58.17%11.55M-4,350.11%-19.8M275.59%103.79M-18.52%35.71M1,288.15%40.91M1,004.12%27.61M
Net income from continuing operations 142.53%6.74M-12.33%26.53M692.62%5.86M-22.89%9.39M1.88%8.5M-74.10%2.78M263.29%30.26M93.07%-989K179.82%12.17M42.97%8.35M
Operating gains losses 796.30%564K-84.21%102K-64.55%195K35.00%-13K-98.96%1K-505.00%-81K143.36%646K663.89%550K-11.11%-20K-52.71%96K
Depreciation and amortization 3.74%9.65M1.27%36.2M10.15%9.24M-3.31%8.81M-3.75%8.85M2.75%9.3M-0.99%35.74M-3.81%8.39M2.13%9.11M-1.76%9.19M
Deferred tax ----79.36%-2.53M-----------------266.00%-12.28M------------
Other non cash items 140.40%363K-127.30%-1.1M-51.57%448K-200.05%-2.13M-40.69%430K-39.11%151K37.80%4.03M384.62%925K139.80%2.13M139.27%725K
Change In working capital 1.63%-32.63M-133.53%-13.34M-32.71%25.37M-85.57%2.3M-202.23%-7.84M-54.16%-33.17M198.28%39.79M-9.23%37.7M144.77%15.94M151.32%7.67M
-Change in receivables 36.14%-2.04M-203.78%-24.43M-126.91%-7.92M-96.49%259K-95.87%-13.57M49.62%-3.2M167.54%23.54M1,578.99%29.43M212.81%7.39M65.07%-6.93M
-Change in prepaid assets -66.63%-2.74M92.16%-555K243.32%2.16M-37.05%-6.68M124.67%5.61M48.55%-1.65M-174.05%-7.08M-111.52%-1.51M-124.00%-4.87M-46.76%2.5M
-Change in payables and accrued expense 3.39%-28.39M249.91%15.23M2,719.36%27.38M31.22%8.61M-44.43%8.63M-57.09%-29.38M159.20%4.35M-93.50%971K166.41%6.56M115.03%15.53M
-Change in other working capital -48.58%544K-118.88%-3.58M-57.32%3.76M-98.38%111K-148.48%-8.51M-84.29%1.06M342.01%18.98M-43.26%8.8M140.38%6.86M51.25%-3.42M
Cash from discontinued investing activities
Operating cash flow 29.69%-13.92M-50.27%51.62M13.48%40.53M-52.71%19.35M-58.17%11.55M-4,350.11%-19.8M275.59%103.79M-18.52%35.71M1,288.15%40.91M1,004.12%27.61M
Investing cash flow
Cash flow from continuing investing activities 4.58%-9.11M-13.80%-41.65M-36.90%-12.2M-12.92%-11M4.35%-8.9M-10.52%-9.55M36.77%-36.6M7.95%-8.91M-1.44%-9.74M26.95%-9.3M
Capital expenditure reported -4.00%-8.33M-11.77%-35.44M-21.68%-8.98M-13.63%-9.42M-7.14%-9.02M-5.24%-8.01M-14.21%-31.71M5.68%-7.38M-12.48%-8.29M-33.96%-8.42M
Net PPE purchase and sale 35.50%-994K-26.99%-6.21M-110.33%-3.22M-8.85%-1.57M113.93%123K-49.47%-1.54M-28.48%-4.89M17.52%-1.53M22.26%-1.45M50.48%-883K
Net business purchase and sale ------0------------------0------------
Net other investing changes --210K------------------------------------
Cash from discontinued investing activities
Investing cash flow 4.58%-9.11M-13.80%-41.65M-36.90%-12.2M-12.92%-11M4.35%-8.9M-10.52%-9.55M36.77%-36.6M7.95%-8.91M-1.44%-9.74M26.95%-9.3M
Financing cash flow
Cash flow from continuing financing activities 55.65%25.02M76.48%-12.86M-57.56%-26.17M92.07%-2.35M96.94%-418K209.87%16.07M-310.79%-54.68M20.87%-16.61M-3,803.63%-29.59M-260.31%-13.67M
Net issuance payments of debt 35.68%28.51M126.57%8.38M-134.72%-20.63M116.84%4.18M154.04%3.81M130.18%21.01M-146.81%-31.55M49.58%-8.79M-725.85%-24.84M-130.62%-7.05M
Net common stock issuance --0-41.60%-3.87M87.76%-263K-163.06%-1.53M---1.34M---733K89.79%-2.73M---2.15M---582K--0
Cash dividends paid -0.35%-3.46M-8.30%-13.76M-0.53%-3.44M-0.29%-3.44M-17.34%-3.44M-17.71%-3.44M-7.25%-12.7M-17.67%-3.42M-18.11%-3.43M-0.31%-2.93M
Proceeds from stock option exercised by employees ----57.66%-174K-----------------451.28%-411K------------
Net other financing activities 95.03%-38K52.71%-3.45M9.32%-1.67M-110.54%-1.56M114.89%549K24.88%-764K-144.35%-7.29M-137.28%-1.85M-178.20%-740K-299.35%-3.69M
Cash from discontinued financing activities
Financing cash flow 55.65%25.02M76.48%-12.86M-57.56%-26.17M92.07%-2.35M96.94%-418K209.87%16.07M-310.79%-54.68M20.87%-16.61M-3,803.63%-29.59M-260.31%-13.67M
Net cash flow
Beginning cash position -5.40%56.33M27.66%59.55M8.75%54.68M-0.23%48.34M6.19%46.66M27.66%59.55M-13.12%46.65M48.41%50.28M2.93%48.45M-11.88%43.94M
Current changes in cash 114.92%1.98M-123.09%-2.89M-78.87%2.15M280.48%6M-51.93%2.23M-240.60%-13.28M390.89%12.51M-22.54%10.19M112.89%1.58M371.32%4.65M
Effect of exchange rate changes -173.35%-289K-184.46%-326K45.31%-507K33.86%336K-312.78%-549K-67.03%394K114.08%386K-137.08%-927K126.39%251K87.67%-133K
End cash Position 24.35%58.02M-5.40%56.33M-5.40%56.33M8.75%54.68M-0.23%48.34M6.19%46.66M27.66%59.55M27.66%59.55M48.41%50.28M2.93%48.45M
Free cash flow 20.81%-23.25M-85.16%9.97M5.69%28.32M-73.21%8.35M-85.52%2.65M-223.06%-29.35M1,064.74%67.19M-21.51%26.8M345.92%31.17M428.84%18.31M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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