Crane Company

NYSE:CR

154.62 (USD) • At close September 18, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988198719861985
Assets:
Current Assets:
Cash & Cash Equivalents 329.6657.6478.6551393.9343.4706.2509.7363.5346.266270.643423.947245.089272.941372.714231.84283.37138.607180.39250.727142.51836.58921.16310.9263.215.9711.65.52.112.649.122.68.44.941.61516.749.1
Short Term Investments 000000000000000000000000000000000000000
Cash and Short Term Investments 329.6657.6478.6551393.9343.4706.2509.7363.5346.266270.643423.947245.089272.941372.714231.84283.37138.607180.39250.727142.51836.58921.16310.9263.215.9711.65.52.112.649.122.68.44.941.61516.749.1
Net Receivables 370474.7486.1447.1574.7531.8443.4414.4418.6431.431460.324367.052365.595334.918317.763375.563378.776382.646289.521308.14248.492213.85217.636209.817206.5303.2298253.7240.8234.7178.8157.7166.2171173.1170.6155.1146.3134.2
Inventory 353.1439.8440.9438.7456.7411.5349.3342.5376.9369.719368.886352.725360.689319.077284.552349.926327.719313.259272.354284.291235.431214.689244.19236.329259.5330.3291.1267.3245237.1193.7164181206.5209.3213.1187.2181162.5
Other Current Assets 38.1126.5118.1137.475.276.419.649.150.547.60230.29536.79760.85961.72571.31763.91113.34345.89714.02412.66512.02210.9057.98943.083649.611.77.46.76.38.47.97.66.3116.71011.630.2
Total Current Assets 1,090.81,698.61,744.21,574.21,500.51,363.11,518.51,315.71,209.51,195.0181,130.1481,180.5211,032.232988.6611,046.3461,021.241,037.622880.409798.395702.806661.776509.477523.257500.152505.2699607.8540498480.2393.5378.7377.4392.2398.3432367.3355.6376
Non-Current Assets:
Property, Plant & Equipment, Net 270.5509.9527.3600.4615.8599.1282.4278.9276290.264305.055268.283284.146280.746285.224290.814289.683289.555263.791287.596302.638273.248275.793246.111256.6307.6273.8258.3243.9263199.4163.2176.9188.2188.3182224.4221.6212.8
Goodwill 747.71,527.51,412.51,608.51,472.21,403.31,206.91,149.21,167.91,191.4591,279.689813.792820.824810.285761.978781.232766.55704.736000000000000000000000
Intangible Assets 87.9344.9465.9520.3505.1481.8276.8282.2317.1353.454408.923125.913146.227162.636118.731106.701128.15122.744629.09643.531592.964456.449420.443358.472373.1415.2272.5260.6229.6234.6113.162.263.164.746.250.755.85046.2
Goodwill and Intangible Assets 835.61,527.51,412.51,608.51,472.21,403.31,206.91,149.21,167.91,191.4591,279.689813.792820.824810.285761.978781.232894.7827.48629.09643.531592.964456.449420.443358.472373.1415.2272.5260.6229.6234.6113.162.263.164.746.250.755.85046.2
Long Term Investments -405.10.442.357.648.556.2-14.1-56.6-53.7-69.495-38.512-74.091-56.897-2.1438.618000000000000000000000000
Tax Assets 2.76.317.714.935.118.8104.2181.8162.4196.245186.734245.843265.849182.832204.386233.165220.37171.164000000000000000000000
Other Non-Current Assets 539.1654.3742.6733.3766.1602495.6559599.9644.437692.345455.53497.377450.936406.346448.037434.917261.876448.21482.575254.398174.52272.62239.11640.532.931.83026.930.238.226.112.819.721.81714.223.624.7
Total Non-Current Assets 1,242.82,698.42,742.43,014.72,937.72,679.42,0752,112.32,152.52,252.912,425.3111,709.3571,811.2991,722.6561,666.5521,753.2481,839.671,550.0751,341.0911,413.7021,150904.219768.858643.699670.2755.7578.1548.9500.4527.8350.7251.5252.8272.6256.3249.7294.4295.2283.7
Total Assets 2,333.64,3974,486.64,588.94,438.24,042.53,593.53,4283,3623,447.9283,555.4592,889.8782,843.5312,711.3172,712.8982,774.4882,877.2922,430.4842,139.4862,116.5081,811.7761,413.6961,292.1151,143.8511,175.41,454.71,185.91,088.9998.41,008744.2630.2630.2664.8654.6681.7661.7650.8659.7
Liabilities & Equity:
Current Liabilities:
Account Payables 179.1286.6246.7218.4314.5329.2247.4223.2223.3228.822229.829182.731194.158157.051142.39182.147177.978161.27149.647161.477116.88591.07284.70792.24987.6132.4122.6105.196.995.273.459.464.762.573.60000
Short Term Debt 10.8699.322.5375.7149.46.9249.4207.649.6100.806125.8261.123102.0550.9841.07816.6220.5489.5050.2540.371100.27548.5531.81814.85813.751.231.225.216.122.31129.38.110.511.262.632.232.125.5
Tax Payables 14.338.110.60.11313.63.520.85.6242.06215.68610.16511.0574.151.980.73124.428000000000000000000000
Deferred Revenue 56.2142.9101.110388.450.8271929.1231.396225.234236.364135.939240.519223.014248.895230.295196.723174.366225.53171.438125.859136.690000000000000000
Other Current Liabilities 221349.1424.9359.5361.3354.2313.771285.37988.03891.67100.943100919184.73194.42874.32222.63629.97622.94125.924124.87132.2167.6142123.6128.3126.886.3105.397.1101.599.6132.7150.6135.3139.4
Total Current Liabilities 467.11,477.9795.21,056.6913.6741.1837.5520.8587.3640.024668.927511.888533.095498.554457.482538.664493.552461.926398.589410.014418.574288.425249.139231.977233.5351.2295.8253.9241.3244.3271.7174169.9174.5184.4195.3182.8167.4164.9
Non-Current Liabilities:
Long Term Debt 248.5543.7842.4842.9842941.3494.1745.3749.3749.213744.693399.092398.9141,018.4021,128.57398.479398.301391.76293.248296.592295.861205.318302.368213.79286.8359.1260.7267.8281.1331.3105.611183.8104.1119.1143.1156.3232.1275.9
Deferred Revenue Non-Current -000000000000000000000000000000000000000
Deferred Tax Liabilities Non-Current 37.1163.671.153.673.853.244.942.455.546.30176.34736.85341.66850.14129.57822.97131.8889.59571.40671.36757.7388.97220.88828.38625.926.222.829.82832.46.13.719.249.546.943.141.719.10
Other Non-Current Liabilities 220.6302.2942.81,104.71,132.5779.8868.5973.8819944.646848.8191,014.6691,047.798147.859203.5661,068.5531,060.362560.567622.949674.841253.352261.91968.42562.93561.17574.174.773.3727070.156.819.920.425.625.259.261.4
Total Non-Current Liabilities 506.21,009.51,856.32,001.22,048.31,774.31,407.51,761.51,623.81,740.161,669.8591,450.6141,488.381,216.4021,361.7141,490.0031,490.5431,041.922987.6031,042.8606.951476.209391.681305.111373.8460.3357.6372.3382.4435.7181.7184.8159.8173.5186.4211.8223.2310.4337.3
Total Liabilities 973.32,487.42,651.53,057.82,961.92,515.42,2452,282.32,211.12,380.1842,338.7861,962.5022,021.4751,714.9561,819.1962,028.6671,984.0951,503.8481,386.1921,452.8141,025.525764.634640.82537.088607.3811.5653.4626.2623.7680453.4358.8329.7348370.8407.1406477.8502.2
Equity:
Preferred Stock 396.300002.93.311.911.57.99212.3548.9938.50311.4177.94000000000000000000000000
Common Stock 56.9915.372.472.472.472.472.472.472.472.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.42672.400000000000000
Retained Earnings 960.72,822.82,527.32,192.82,112.22,072.11,813.31,719.91,674.31,521.991,403.2021,250.9721,095.9531,126.631,022.838935.46845.864946.077814.197706.505838.678756.801789.244720.864623.4574.8483.6394.6342.3296.3263.7236.5234235.2194163.712888.365.8
Accumulated Other Comprehensive Income/Loss -58-131.5-440.2-466.4-483.7-447.6-380.1-476.1-376.7-298.751-48.651-128.077-93.51211.5185.13-45.131154.07773.17531.0980.24651.034-0.788-34.461-31.096-22.5-337.8-308.9-289.2-269-250.4-222.3-214.1-205.5-200.7-192.5-183.4-340.7-320.4-301.1
Other Total Stockholders Equity 1.9-1,699.5-324.4-267.7-224.6-172.7-160.4-182.4-230.6-235.913-222.658-276.938-261.314-225.63-214.632-224.693-187.564-173.075-164.419-195.483-175.887-179.377-175.914-155.431-105.2406.2357.8357.3301.4282.1249.4249272282.3282.3294.3468.4405.1392.8
Total Shareholders Equity 1,357.81,907.11,835.11,531.11,476.31,527.11,348.51,145.71,150.91,067.7441,216.673927.376822.056996.361893.702738.062884.803918.603753.294663.694786.251649.062651.295606.763568.1643.2532.5462.7374.7328290.8271.4300.5316.8283.8274.6255.7173157.5
Total Equity 1,360.31,909.71,837.91,533.31,478.91,5301,351.81,157.61,162.31,078.5931,227.027936.369830.5591,004.447901.642745.821893.197926.636753.294663.694786.251649.062651.295606.763568.1643.2532.5462.7374.7328290.8271.4300.5316.8283.8274.6255.7173157.5
Total Liabilities & Shareholders Equity 2,333.64,394.54,486.64,588.94,438.24,042.53,593.53,4283,3623,447.9283,555.4592,889.8782,843.5312,711.3172,712.8982,774.4882,877.2922,430.4842,139.4862,116.5081,811.7761,413.6961,292.1151,143.8511,175.41,454.71,185.91,088.9998.41,008744.2630.2630.2664.8654.6681.7661.7650.8659.7