Crawford Financial Ratios for Analysis 2009-2024 | CRD.A

Fifteen years of historical annual and quarterly financial ratios and margins for Crawford (CRD.A).

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
202320222021202020192018201720162015201420132012201120102009
1.231.261.141.241.331.421.441.581.431.421.161.221.291.281.26
0.580.630.440.370.480.490.520.540.640.460.330.520.610.700.74
1.501.940.830.611.091.091.211.181.990.870.661.171.552.352.96
27.2724.8825.6127.4428.1428.0527.6327.8124.2624.8325.2926.0724.2224.4524.41
4.220.283.553.932.575.473.525.86-2.624.796.246.464.823.46-10.76
5.511.124.124.713.596.374.306.64-1.945.286.767.136.144.82-9.41
8.227.047.658.669.1310.399.5610.105.538.379.469.738.767.57-6.45
3.600.413.853.852.263.933.635.37-2.564.926.476.594.823.46-10.76
2.32-1.492.692.781.192.312.383.05-3.662.524.073.863.752.55-11.04
1.651.561.341.351.381.601.481.601.581.541.591.491.481.351.41
---------------
5.214.454.414.464.374.614.004.544.644.254.624.374.504.184.50
70.0781.9682.7081.8483.5979.1491.2480.3378.6585.7979.0083.4881.0687.2381.14
21.64-15.0214.4514.485.8614.5914.5623.66-36.6717.3424.7435.0933.0430.22-188.25
-162.0044.89-1,131.4055.01139-395.69-383.48-194.0459.91-109.43-698.73-62.80-51.14-22.4169.38
3.79-2.343.583.601.253.653.465.12-5.823.946.505.875.583.51-15.53
9.06-5.538.139.063.067.477.0310.88-13.049.3316.6016.9213.049.12-49.23
2.852.544.083.503.053.173.342.842.253.253.802.622.571.811.18
2.090.561.011.751.390.940.721.761.120.121.401.690.680.491.00
1.35-0.080.431.051.000.40-0.071.240.52-0.370.841.090.13-0.030.52

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
1.281.291.311.231.311.301.291.261.301.221.241.141.371.381.341.241.411.381.471.331.311.321.341.421.381.461.641.441.681.681.671.581.531.481.451.431.461.531.441.421.301.311.151.161.211.221.181.221.301.261.291.291.341.351.311.281.251.251.291.261.341.281.24
0.560.580.600.580.550.590.600.630.580.540.510.440.390.350.360.370.410.510.570.480.480.500.520.490.490.510.550.520.560.580.590.540.580.610.630.640.590.580.570.460.380.390.330.330.460.470.500.520.550.580.600.610.600.620.670.700.680.740.730.740.700.650.52
1.501.561.611.501.341.621.761.941.601.381.190.830.640.580.590.610.701.311.581.091.131.231.261.091.121.201.371.211.301.401.461.181.441.681.901.991.461.411.380.870.820.870.910.661.061.021.361.171.331.491.671.551.681.682.212.352.593.162.942.962.572.041.14
27.2628.1427.8725.6029.2726.8127.2225.2024.0524.7725.5223.7826.0426.8725.9327.1329.0729.1624.3627.1427.7730.6026.9829.9328.6227.8025.9927.3827.3529.1526.6629.2428.3827.5426.0626.0226.5322.2822.3323.0125.5326.0424.6924.9425.8326.5623.7527.2227.6525.4023.6822.1123.1625.7725.6824.8724.9424.1123.6924.4124.6824.2224.34
5.024.722.030.166.184.665.535.21-9.472.652.461.055.075.222.949.848.565.29-8.71-2.246.362.973.049.073.835.143.88-1.305.795.834.266.986.695.004.75-17.812.282.711.683.586.155.703.605.417.268.154.027.918.605.643.240.066.696.265.916.445.49-0.641.572.70-13.97-31.761.65
6.396.023.181.387.515.946.876.44-8.523.232.991.755.625.663.5410.469.176.30-7.81-1.307.553.894.1010.064.745.984.76-0.546.676.574.987.547.455.845.70-17.103.043.342.284.076.686.214.055.957.748.644.568.459.296.393.991.308.047.577.277.456.900.793.214.22-12.81-30.423.04
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4.303.971.22-0.375.544.014.885.22-9.312.832.631.325.375.573.244.4713.935.12-8.80-2.556.032.053.398.743.66-0.674.27-1.335.896.024.464.796.765.134.79-17.802.352.741.803.936.175.723.765.427.318.244.787.988.875.733.350.066.696.265.916.445.49-0.641.572.70-13.97-31.761.65
2.762.630.91-0.263.602.503.26-4.23-4.941.921.770.553.764.262.313.549.322.43-4.63-2.844.160.992.384.352.98-0.832.95-0.644.123.592.742.643.712.902.97-17.19-0.281.250.971.083.243.412.303.534.285.223.174.235.623.272.111.584.964.293.994.564.67-0.991.213.45-14.70-32.441.23
0.430.420.400.390.410.410.400.420.370.350.340.360.370.360.340.350.350.330.310.340.340.340.320.390.360.390.350.400.350.360.360.400.390.380.390.380.360.370.360.390.390.380.370.390.370.390.360.400.390.380.360.350.360.380.380.400.360.350.340.350.360.350.30
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1.271.211.221.221.191.131.121.211.041.091.101.171.121.141.081.171.101.031.011.071.061.021.011.131.061.090.941.080.980.991.011.131.041.041.071.121.061.081.021.070.991.000.991.130.971.031.011.161.041.001.001.060.990.981.021.220.971.011.001.101.021.081.03
71.0274.3173.6473.6075.3979.6080.1074.6486.6882.9281.8576.6880.6278.7383.0377.2181.8687.7789.0483.8485.0088.1088.8979.8384.6582.3896.2683.5091.7190.9089.1079.4486.5486.9184.0480.1285.1983.6088.3584.2391.2290.4190.9279.6093.0987.3989.0777.6886.5689.9389.8984.9791.2392.2088.0373.5992.5989.4989.8581.4788.3882.9987.35
5.905.681.94-0.717.475.577.57-11.57-9.453.162.640.765.065.482.985.0313.564.09-9.15-5.886.401.603.466.674.13-1.304.33-1.416.235.844.565.367.606.476.84-41.80-0.612.311.852.084.464.823.215.347.839.936.4410.0910.916.914.413.4610.6310.3811.1415.8916.54-4.134.7714.53-52.43-91.971.79
158-170.31-20.255.29887-61.01-46.0334.57226-23.37-35.75-59.2219.0316.5110.6219.1145.0032.70-158.68-139.70-160.82-20.60-41.03-181.0423079.325,85437.23-47.87-24.21-14.54-43.97-32.14-18.02-12.8768.281.46-5.83-3.95-13.1158.87112-109.49-150.80-33.49-33.54-14.19-18.06-35.62-15.57-7.36-5.35-19.45-14.30-10.07-11.78-9.171.55-1.89-5.3626.1650.70-1.58
1.171.080.36-0.121.471.021.31-1.80-1.860.680.610.191.381.530.781.253.340.82-1.68-1.261.380.330.721.671.08-0.321.03-0.341.461.300.971.161.481.171.14-6.63-0.130.480.380.471.261.330.841.401.622.001.151.692.201.290.780.581.811.661.481.841.71-0.340.421.20-5.26-11.310.36
2.572.370.78-0.303.342.303.05-4.26-4.001.461.300.433.103.541.903.158.052.01-3.97-3.073.310.791.673.422.12-0.641.93-0.682.732.461.882.473.202.562.54-14.86-0.250.970.801.122.762.932.153.584.195.243.204.864.922.931.761.364.243.913.654.795.22-1.081.293.80-15.47-31.890.86
3.243.052.922.853.333.072.912.543.333.823.934.084.144.063.803.503.432.822.713.053.143.073.103.173.463.403.543.343.443.152.972.842.682.552.282.253.213.273.223.254.154.003.743.803.203.112.772.623.122.852.602.572.682.462.001.811.501.161.221.181.441.843.25
0.22-0.17-0.402.091.360.55-0.010.56-0.33-0.26-0.291.010.370.190.031.751.070.23-0.151.390.780.160.010.940.29-0.34-0.240.720.25-0.29-0.361.760.890.20-0.091.120.380.18-0.280.12-0.79-1.07-1.171.40-0.17-0.27-0.751.690.19-0.48-0.700.68-0.32-0.62-0.940.49-0.47-0.56-0.451.000.190.07-0.23
-0.37-0.54-0.591.350.810.19-0.19-0.08-0.85-0.58-0.380.43-0.01-0.03-0.061.050.63-0.04-0.291.000.540.01-0.050.40-0.17-0.66-0.44-0.07-0.29-0.57-0.471.240.54-0.03-0.200.52-0.10-0.11-0.42-0.37-1.16-1.29-1.260.84-0.53-0.50-0.861.09-0.23-0.78-0.850.13-0.71-0.84-1.06-0.03-0.82-0.79-0.560.52-0.14-0.15-0.33