Crane
NYSE:CR
$ 164,22
$-3,33 (-1,99%)
164,22 $
$-3,33 (-1,99%)
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.

$6,05
Earnings Per Share
$39,97
Revenue Per Share
42,20%
Gross Margin %
$9,48 B
Market Cap
$1,15 B
Long-Term Debt
Earnings Per Share
$6,05
Revenue Per Share
$39,97
Gross Margin %
42,20%
Market Cap
$9,48 B
Long-Term Debt
$1,15 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $6,05 $4,88 $4,29 $7,88 $6,55 $3,84 $6,02 $5,99 $4,53 $4,23 $4,13 $4,45 $4,18 $3,70 $3,43 $2,59 $2,15 $2,93 $3,19 $2,67
Earnings Earnings $348,90M $280,11M $244,66M $444,67M $367,72M $223,33M $356,08M $358,02M $270,21M $250,20M $240,49M $258,90M $243,53M $212,20M $198,15M $151,39M $125,90M $171,23M $192,74M $161,78M
RPS Revenue Per Share $39,97 $37,13 $36,58 $59,81 $56,64 $50,50 $55,50 $55,97 $46,71 $46,46 $47,06 $50,28 $44,55 $44,97 $44,07 $37,94 $37,18 $44,56 $43,35 $37,25
Revenue Revenue $2,31B $2,13B $2,09B $3,37B $3,18B $2,94B $3,28B $3,35B $2,79B $2,75B $2,74B $2,93B $2,60B $2,58B $2,55B $2,22B $2,18B $2,60B $2,62B $2,26B
OCF Operating Cash Flow $394,80M $257,80M $193,60M $-151,60M $466,70M $309,50M $393,90M $413,80M $317,50M $318,10M $229,30M $263,95M $0,00M $234,76M $149,81M $133,54M $0,00M $191,39M $232,83M $181,70M
FCF Free Cash Flow $334,84M $221,20M $86,30M $-210,00M $415,00M $275,40M $325,10M $305,00M $268,50M $266,60M $189,70M $220,22M $0,00M $205,45M $115,08M $112,50M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 18,40% 16,00% 14,59% 15,65% 14,38% 10,95% 14,27% 14,91% 15,19% 13,30% 14,15% 12,15% 14,28% 12,75% 11,13% 11,01% 9,72% 10,08% 10,06% 10,99%
GM % Gross Margin % 42,20% 40,72% 38,58% 39,70% 37,78% 34,26% 35,91% 35,82% 36,44% 36,02% 34,83% 34,75% 34,04% 33,70% 33,88% 34,04% 33,25% 32,76% 32,19% 32,40%
FCFS Free Cash Flow Per Share $5,94 $4,13 $3,27 $-3,72 $7,61 $4,72 $5,44 $5,12 $4,52 $4,56 $3,27 $3,75 $3,63 $3,58 $1,98 $1,92 $2,75 $2,45 $3,09 $2,54
LT Debt Long-Term Debt $1,15B $247,00M $248,50M N/A $842,40M $842,90M $842,00M $942,30M $494,10M $745,30M $744,60M $749,20M $749,17M $399,09M $398,91M $398,74M $398,56M $398,48M $398,30M $398,12M
Sha. Stocks 57,67M 57,4M 57,03M 56,43M 56,14M 58,16M 59,15M 59,77M 59,65M 59,15M 58,23M 58,18M 58,26M 57,35M 57,77M 58,45M 58,56M 58,44M 60,42M 60,59M
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