Craneware
AIM:CRW
£ 13,10
£-0,25 (-1,87%)
13,10 £
£-0,25 (-1,87%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

£0,83
Earnings Per Share
£4,28
Revenue Per Share
87,17%
Gross Margin %
£0,46 B
Market Cap
£0,02 B
Long-Term Debt
Earnings Per Share
£0,83
Revenue Per Share
£4,28
Gross Margin %
87,17%
Market Cap
£0,46 B
Long-Term Debt
£0,02 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
EPS Earnings Per Share £0,83 £0,74 £0,86 £0,88 £0,68 £0,64 £0,62 £0,59 £0,50 £0,42 £0,38 £0,34 £0,33 £0,32 £0,26 £0,21
Earnings Earnings £29,09M £25,85M £30,07M £30,91M £22,22M £16,93M £16,34M £15,52M £13,36M £11,28M £10,20M £9,18M £8,91M £8,64M £6,97M £5,33M
RPS Revenue Per Share £0,00 £4,28 £4,29 £4,98 £4,71 £2,31 £2,70 £2,71 £2,55 £2,16 £1,86 £1,67 £1,58 £1,53 £1,52 £1,42 £1,12
Revenue Revenue £0,00M £150,11M £149,76M £174,02M £165,54M £75,58M £71,50M £71,40M £67,07M £57,80M £49,85M £44,80M £42,57M £41,45M £41,07M £38,10M £28,40M
OCF Operating Cash Flow £0,00M £43,72M £33,12M £98,75M £26,96M £23,54M £20,67M £13,46M £0,00M £17,85M £15,42M £19,58M £8,11M £6,62M £9,39M £8,59M £6,91M
FCF Free Cash Flow £0,00M £32,50M £19,71M £83,20M £12,93M £13,21M £10,96M £3,03M £0,00M £13,27M £12,84M £19,20M £7,80M £6,09M £8,95M £-2,22M £0,00M
OM Operating Margin 0,00% 12,33% 10,78% 11,34% 12,23% 26,10% 26,86% 26,95% 27,72% 28,55% 28,91% 28,05% 26,47% 25,58% 24,64% 23,90% 24,82%
GM % Gross Margin % 0,00% 87,17% 85,70% 85,30% 86,00% 92,89% 93,68% 93,85% 94,92% 93,80% 93,96% 94,60% 95,44% 95,00% 96,21% 87,68% 91,01%
FCFS Free Cash Flow Per Share £0,00 £0,93 £0,56 £2,37 £0,37 £0,49 £0,40 £0,11 £0,94 £0,49 £0,48 £0,69 £0,28 £0,23 £0,32 £0,25 £0,25
LT Debt Long-Term Debt N/A £21,66M £27,37M £75,03M £103,59M N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A
Sha. Stocks 35,05M 35,05M 34,93M 34,96M 35,13M 32,67M 26,46M 26,35M 26,31M 26,72M 26,85M 26,83M 27,01M 27,01M 26,99M 26,79M 25,37M
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