Crawford United Financial Ratios for Analysis 2009-2024 | CRAWA

Fifteen years of historical annual and quarterly financial ratios and margins for Crawford United (CRAWA).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2023202220212020201920182017201720162015201420132012201120102009
1.981.871.782.001.661.382.162.653.315.066.564.233.185.296.278.15
0.180.400.450.500.510.600.450.510.360.070.07-----
0.260.750.981.171.281.750.921.140.650.080.07-0.09---
26.1621.1621.0422.2521.8223.0633.6933.6934.7745.8742.7345.9036.9040.2944.0832.62
12.466.686.718.7611.7211.0211.2611.26-10.13-0.990.132.15-16.47-13.27-18.05-30.17
12.466.686.718.7611.7211.0211.2611.26-10.13-0.990.243.56-16.34-13.12-18.04-30.11
16.3810.9510.6811.6514.0113.4414.2914.29-7.820.191.224.55-14.53-10.97-15.54-27.34
11.936.057.078.7910.507.969.199.1920.06-2.090.132.15-16.47-13.27-18.05-30.17
9.245.145.436.867.785.445.915.9169.71-2.090.132.15-16.47-13.27-18.05-60.60
1.541.281.151.141.441.310.890.920.431.511.701.851.491.471.381.29
6.014.994.966.009.139.294.054.091.311.642.112.201.731.541.391.87
7.315.845.297.086.416.752.642.794.915.315.3810.136.777.0115.015.37
49.9062.5369.0551.5856.9854.0813813174.3868.7067.8536.0353.8852.0524.3268.01
23.0315.2516.3221.2132.5728.3113.5514.2455.46-4.640.305.05-33.82-25.66-28.94-87.19
40.2637.9551.8768.9690.81-314.5322.5525.5287.01-4.640.305.05-33.82-25.66-28.94-87.19
14.206.596.217.8411.177.145.245.4230.02-3.170.233.96-24.45-19.55-24.93-77.87
18.949.098.9610.7115.8711.287.466.9935.40-4.310.285.05-33.82-25.66-28.94-87.19
16.4412.3810.168.276.474.693.603.422.931.611.681.691.542.072.633.38
5.332.320.522.980.273.250.860.861.280.01-0.370.43-0.29-0.570.06-0.99
4.752.11-0.402.810.053.100.750.751.26-0.03-0.460.42-0.33-0.570.04-1.02

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.052.211.951.981.421.302.011.871.851.801.851.781.781.861.972.001.901.881.741.661.491.171.421.381.441.602.052.16-2.282.863.06-2.302.565.05-3.073.074.77-2.282.913.79-4.294.623.56-3.073.093.28-3.804.545.89-6.887.467.89-6.678.20
0.140.190.150.090.130.140.370.400.430.450.470.450.450.470.500.500.540.560.560.510.560.570.650.600.670.320.370.45-0.560.340.36-0.070.07----------------------------
0.180.260.190.110.420.520.620.750.850.951.060.980.981.041.161.171.391.491.461.281.561.872.151.752.220.580.700.92-1.350.590.63-0.190.200.08-0.090.090.08-0.08-------0.190.180.09-----------
29.0927.6626.6522.9026.4828.3626.6323.2319.6021.2220.5417.3220.4521.8525.0221.9322.8118.8424.5621.4722.4221.3222.1220.5822.5125.6525.4124.7527.8641.9541.17--49.7233.64--44.7635.01--52.8038.34--42.7043.59--37.6834.17--37.9142.10--46.2037.89--40.5927.69
14.3113.5911.909.9412.7713.9512.978.456.217.454.512.487.088.019.698.319.992.8612.4112.2711.5011.3911.7711.2812.5013.375.41-13.0412.9918.137.95100.00--0.53-44.81100.00-5.89-25.35100.00-18.16-26.66100.00--9.986.08100.00--13.44-19.07100.00--9.87-16.28100.00--11.75-24.75100.00--16.35-44.95
14.3113.5911.909.9412.7713.9512.978.456.217.454.512.487.088.019.698.319.992.8612.4112.2711.5011.3911.7711.2812.5013.375.41-13.0412.9918.137.95---0.21-44.50--5.90-25.34--18.29-26.66---8.297.24---13.43-18.94---9.79-16.28---11.75-24.75---16.31-44.87
---------------------------------------------------------------
12.8112.1110.799.7511.5014.3811.888.375.475.005.292.235.656.0315.2912.518.951.6610.9511.2410.0610.1210.6710.2710.563.874.20-12.9711.8813.566.61-12.97--0.53-44.38-3.43-6.08-25.35-23.29-18.16-26.66-30.50--9.986.088.27--13.44-19.07-15.50--9.87-16.28-28.58--10.90-24.073.95--15.44-44.95
9.178.727.809.578.3710.438.599.403.903.673.440.244.544.7213.1010.586.701.238.218.097.627.477.996.387.572.903.15-13.315.2113.046.37-13.31--0.53-44.38-3.43-6.08-25.35-23.29-18.16-26.66-30.50--9.986.088.27--13.44-19.07-15.50--9.87-16.28-28.58--10.90-24.073.95--15.44-168.18
0.330.340.360.360.340.370.390.330.320.310.310.300.290.300.280.270.270.240.340.340.350.390.370.420.380.580.470.09-0.250.210.15-0.430.310.39-0.550.350.35-0.510.360.33-0.390.560.48-0.400.340.32-0.370.390.32-0.320.310.34-0.310.27
1.421.411.471.481.201.261.471.241.201.211.471.361.361.421.371.411.611.361.742.162.433.133.193.052.985.102.270.45-1.080.610.55-0.390.350.39-0.590.400.48-0.480.340.42-0.480.750.50-0.450.430.43-0.370.360.34-0.360.420.35-0.320.33
1.461.341.511.721.381.741.671.491.441.401.271.391.381.491.541.661.361.481.991.511.691.541.962.151.501.851.390.26-0.832.112.22-1.932.633.12-2.401.842.39-1.392.462.06-1.902.701.54-2.732.302.09-1.932.882.30-1.942.011.51-2.142.45
61.7567.0959.4452.3465.4551.6353.8060.3162.3264.1071.1264.9165.0160.4658.3354.2866.3960.6745.2759.7153.2158.6246.0341.8859.8748.6864.54344-10842.6440.47-46.6934.2228.87-37.5448.9337.65-64.6936.5543.74-47.2733.3158.45-32.9239.0743.14-46.5931.2239.06-46.3244.8759.65-42.1536.76
4.945.084.915.615.197.527.247.143.143.032.920.193.473.749.827.665.610.958.827.978.9611.0811.9010.5613.274.043.40-3.02-10.102.55---0.38-21.85--4.72-12.51--15.36-13.96---4.934.23---7.48-9.16---4.78-7.75---3.98-8.49---5.51-50.01
8.438.749.009.809.6314.8615.8317.759.009.4810.050.5911.0612.6337.0324.9023.155.0352.6422.2233.4170.68208-117.35-894.426.585.28-5.02-20.563.96---0.38-21.85--4.72-12.51--15.36-13.96---4.934.23---7.48-9.16---4.78-7.75---3.98-8.49---5.51-50.01
3.052.982.803.462.813.843.363.081.251.151.060.071.331.423.602.831.830.302.772.732.702.902.942.662.911.681.47-1.17-3.241.32---0.23-13.69--3.37-8.92--9.20-9.71---3.883.40---5.32-6.52---3.69-6.29---3.47-7.50---4.80-44.75
4.234.094.175.114.516.434.594.251.801.681.540.101.901.994.923.872.570.423.913.883.934.724.184.214.352.762.13-1.66-4.481.68---0.36-20.29--4.72-12.51--15.36-13.96---4.934.23---7.48-9.16---4.78-7.75---3.98-8.49---5.51-50.01
19.4218.2517.2516.3115.4614.5913.3612.3811.4911.1210.6210.1610.149.789.398.277.647.217.116.476.615.995.334.694.153.593.753.60-3.232.932.82-1.291.301.58-1.421.351.52-1.541.301.48-1.661.741.64-1.641.811.97-2.142.242.38-3.053.173.43-3.413.60
3.741.130.805.333.102.341.062.321.781.280.590.521.130.840.432.982.011.741.700.270.22-0.79-0.413.252.021.360.100.860.530.11-0.080.370.00-0.180.040.250.000.02-0.050.190.00-0.95-0.43-0.200.000.340.39-0.120.00-0.07-0.030.040.00-0.64-0.37-0.350.000.210.280.080.00-1.10-0.95
3.170.650.694.752.712.091.022.111.621.190.55-0.400.460.420.192.811.921.681.660.050.04-0.92-0.513.101.931.320.080.750.470.06-0.110.32--0.19-0.110.25--0.02-0.070.18--1.02-0.48-0.22-0.330.39-0.12--0.08-0.040.04--0.64-0.37-0.35-0.200.270.07--1.12-0.98