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Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) 10-Year Financial Performance & Capital Metrics

CRESY • • Industrial / General
IndustrialsConglomeratesAgribusiness & Real Estate ConglomeratesLatin American Agribusiness & Real Estate
AboutCresud Sociedad Anónima Comercial, Inmobiliaria, Financiera y Agropecuaria, an agricultural company, produces basic agricultural commodities in Brazil and other Latin American countries. It operates through Agricultural Business, and Urban Properties and Investment Business segments. The Agricultural Business segment is involved in the planting, harvesting, and sale of crops, such as wheat, corn, soybeans, cotton, and sunflower, as well as sugarcane; sale of grain derivatives, including flour and oil; breeding, purchasing, and/or fattening of cattle for sale to meat processors and local livestock auction markets; provision of agricultural services; leasing of farms to third parties; disposal and development of farmlands; and brokerage activities. The Urban Properties and Investment Business segment leases, rents, and services commercial and other spaces in shopping malls; leases offices and other rental spaces; develops, maintains, and sells undeveloped parcels of land and/or trading properties; and operates hotels, as well as engages in the entertainment activities. The company was incorporated in 1936 and is headquartered in Buenos Aires, Argentina.Show more
  • Revenue $914.16B +28.5%
  • EBITDA $231.48B +284.2%
  • Net Income $96.15B +22.5%
  • EPS (Diluted) 1452.20 +29.9%
  • Gross Margin 39.46% -3.7%
  • EBITDA Margin 25.32% +243.3%
  • Operating Margin 24.17% +226.2%
  • Net Margin 10.52% -4.6%
  • ROE 5.09% +8.9%
  • ROIC 5.74% +242.1%
  • Debt/Equity 0.66 +14.6%
  • Interest Coverage 4.03 +280.2%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Strong 5Y profit CAGR of 58.3%
  • ✓High quality earnings: Operating CF exceeds net income
  • ✓Strong 5Y sales CAGR of 61.9%
  • ✓Share count reduced 5.7% through buybacks
  • ✓Healthy 5Y average net margin of 10.7%
  • ✓Trading at only 0.0x book value

✗Weaknesses

  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y66.3%
5Y61.88%
3Y5.99%
TTM20.63%

Profit (Net Income) CAGR

10Y58.61%
5Y58.28%
3Y-31.34%
TTM-10.42%

EPS CAGR

10Y57.36%
5Y78.74%
3Y-30.76%
TTM-29.02%

ROCE

10Y Avg9.78%
5Y Avg11.23%
3Y Avg-1.47%
Latest6.4%

Peer Comparison

Latin American Agribusiness & Real Estate
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
CRESWCresud S.A. Warrant 2021-08.03.26 on Cresud1.250.0128.51%12.2%4.72%0.66
CRESYCresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria793.95M12.340.0128.51%12.2%4.72%100%0.66
IRSIRSA Inversiones y Representaciones Sociedad Anónima1.28B16.580.0181.53%30.66%17.72%0.37

Profit & Loss

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Sales/Revenue+15.62B67.91B93.27B47.53B82.24B149.93B767.7B707.41B711.37B914.16B
Revenue Growth %1.76%3.35%0.37%-0.49%0.73%0.82%4.12%-0.08%0.01%0.29%
Cost of Goods Sold+8.77B42.7B59.87B23.55B47.24B121.69B427.61B599.93B419.82B553.46B
COGS % of Revenue0.56%0.63%0.64%0.5%0.57%0.81%0.56%0.85%0.59%0.61%
Gross Profit+6.85B25.2B33.39B23.98B35B28.24B340.1B386.35B291.55B360.7B
Gross Margin %0.44%0.37%0.36%0.5%0.43%0.19%0.44%0.55%0.41%0.39%
Gross Profit Growth %1.92%2.68%0.33%-0.28%0.46%-0.19%11.04%0.14%-0.25%0.24%
Operating Expenses+-12.75B21.06B1.54B65.69B-72.95B-6.84B-6.13B515.18B427.79B139.75B
OpEx % of Revenue-0.82%0.31%0.02%1.38%-0.89%-0.05%-0.01%0.73%0.6%0.15%
Selling, General & Admin3.7B16.4B22.17B8.42B11.33B23B95.86B117.75B106.21B173.88B
SG&A % of Revenue0.24%0.24%0.24%0.18%0.14%0.15%0.12%0.17%0.15%0.19%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses-16.44B4.66B-20.63B57.28B-84.28B-29.84B-101.99B397.43B321.58B-34.13B
Operating Income+19.6B4.15B31.86B-41.71B107.95B35.08B346.23B-128.84B-136.24B220.94B
Operating Margin %1.25%0.06%0.34%-0.88%1.31%0.23%0.45%-0.18%-0.19%0.24%
Operating Income Growth %2.41%-0.79%6.68%-2.31%3.59%-0.67%8.87%-1.37%-0.06%2.62%
EBITDA+21.14B11.99B41.6B-40.98B112.78B38.03B356.12B-118.85B-125.66B231.48B
EBITDA Margin %1.35%0.18%0.45%-0.86%1.37%0.25%0.46%-0.17%-0.18%0.25%
EBITDA Growth %2.61%-0.43%2.47%-1.99%3.75%-0.66%8.36%-1.33%-0.06%2.84%
D&A (Non-Cash Add-back)1.54B7.84B9.74B735M4.83B2.94B9.89B9.99B10.57B10.53B
EBIT16.77B10.36B406M-55.01B99.2B89.91B13.12B103.73B93.01B152.02B
Net Interest Income+-2.71B-13.18B-19.07B-9.4B-21.44B-40.51B-90.9B-76.19B34.46B-54.8B
Interest Income-27M552M321M289M2.08B8.06B21.75B8.17B85.62B0
Interest Expense2.69B13.74B19.39B9.69B23.51B48.57B112.67B83.46B60.9B54.8B
Other Income/Expense-5.51B-7.53B-50.84B-22.98B-32.26B6.26B174.19B96.03B168.34B74.47B
Pretax Income+14.09B-3.38B-18.98B-64.69B75.69B41.34B520.42B20.28B32.11B295.41B
Pretax Margin %0.9%-0.05%-0.2%-1.36%0.92%0.28%0.68%0.03%0.05%0.32%
Income Tax+5.79B1.83B-9.96B820M19.59B98.77B15.83B-270.18B-61.87B71.05B
Effective Tax Rate %0.37%0.18%-0.32%0.62%0.13%-1.07%0.57%8.04%2.44%0.33%
Net Income+5.17B-624M6.11B-40.25B9.68B-44.43B297.05B162.99B78.46B96.15B
Net Margin %0.33%-0.01%0.07%-0.85%0.12%-0.3%0.39%0.23%0.11%0.11%
Net Income Growth %4.42%-1.12%10.79%-7.59%1.24%-5.59%7.69%-0.45%-0.52%0.23%
Net Income (Continuing)8.3B-5.21B-9.02B-65.51B56.1B-57.43B504.59B290.46B93.98B224.37B
Discontinued Operations817M8.84B36.44B4.33B0-29.19B0000
Minority Interest23.54B32.77B86.21B103.16B145.68B120.44B268.37B1.02T867.67B1.24T
EPS (Diluted)+93.20-11.80114.50-739.6079.60-808.804374.802379.401118.001452.20
EPS Growth %4.97%-1.13%10.7%-7.46%1.11%-11.16%6.41%-0.46%-0.53%0.3%
EPS (Basic)94.50-11.80119.10-739.6082.10-808.804877.702707.501324.401607.80
Diluted Shares Outstanding55.48M52.77M53.3M53.12M53.13M54.4M68.57M69.18M70.2M66.2M
Basic Shares Outstanding54.7M52.77M51.26M51.54M51.5M54.94M67.9M68.5M59.2M66.21M
Dividend Payout Ratio0.05%-0.15%-0.26%-0.22%1%1.58%0.91%

Balance Sheet

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Total Current Assets+45.22B68.36B159.47B218.76B347B114.76B243.58B798.56B706.4B1.25T
Cash & Short-Term Investments23.77B39.55B106.96B151.1B183.99B47.46B116.39B307.47B260.74B477.07B
Cash Only14.1B25.36B60.13B89.3B151.59B45.14B75.26B144.66B114.64B250.85B
Short-Term Investments9.67B14.19B46.83B61.8B32.4B2.32B41.13B162.81B146.1B226.21B
Accounts Receivable12.37B18.68B27.4B39.01B66.12B37.53B71.94B293.38B263.96B442.85B
Days Sales Outstanding289100.38107.23299.59293.4591.3734.21151.37135.44176.82
Inventory4.45B5.59B5.09B10.2B17.79B28.73B48.79B174.82B174.98B318.79B
Days Inventory Outstanding185.2747.8231.05158.08137.4286.1641.65106.36152.13210.24
Other Current Assets2.3B682M20.02B18.44B79.1B1.04B6.45B22.89B6.72B7.99B
Total Non-Current Assets+154.43B173.09B398.2B507.28B684.79B441.43B897.33B3.17T2.77T3.84T
Property, Plant & Equipment26.8B31.15B36.43B54.11B122.99B72.76B142.78B899.21B590.47B878.27B
Fixed Asset Turnover0.58x2.18x2.56x0.88x0.67x2.06x5.38x0.79x1.20x1.04x
Goodwill2.24B2.81B4.97B6.73B8.74B633M1.3B4.89B4.81B6.66B
Intangible Assets9.58B9.64B14.62B19.29B33.6B4.27B7.93B32.15B67.67B21.84B
Long-Term Investments22.75B16.22B55.5B54.97B118.12B23.48B40.49B155.09B147.91B215.37B
Other Non-Current Assets91.82B111.64B284.85B371.41B399.94B339.47B704.7B2.08T1.95T2.72T
Total Assets+199.65B241.45B557.67B726.03B1.03T556.18B1.14T3.97T3.47T5.09T
Asset Turnover0.08x0.28x0.17x0.07x0.08x0.27x0.67x0.18x0.20x0.18x
Asset Growth %5.29%0.21%1.31%0.3%0.42%-0.46%1.05%2.48%-0.13%0.47%
Total Current Liabilities+45.6B51.19B88.95B128.06B259.64B115.49B318.15B724.55B657.61B1T
Accounts Payable11.18B21.97B28.03B32.3B53.81B32.12B66.66B282.11B248.49B0
Days Payables Outstanding465.25187.78170.86500.66415.6996.3356.9171.64216.05-
Short-Term Debt23.49B23.29B49.91B80.38B147.78B74.5B205.38B381.57B346.94B535.76B
Deferred Revenue (Current)1000K000000000
Other Current Liabilities1.7B2.86B7.18B10.88B41.27B2.02B2.6B7.85B16.74B396.09B
Current Ratio0.99x1.34x1.79x1.71x1.34x0.99x0.77x1.10x1.07x1.24x
Quick Ratio0.89x1.23x1.74x1.63x1.27x0.74x0.61x0.86x0.81x0.93x
Cash Conversion Cycle9.01-39.58-32.59-4315.1981.218.9586.171.52-
Total Non-Current Liabilities+116.85B141.08B345.26B470.77B588.67B267.05B376.96B1.45T1.25T1.87T
Long-Term Debt93.81B112.03B291.64B397.41B481.27B120.09B99.52B592.03B475.59B807.35B
Capital Lease Obligations000022.82B7.49B15.22B66.26B61.24B88.45B
Deferred Tax Liabilities19.2B23.13B41.95B57.19B74.3B134.84B250.61B724.55B638.17B0
Other Non-Current Liabilities3.77B5.86B11.67B16.16B10.28B4.63B11.62B70.98B76.6B977.45B
Total Liabilities162.45B192.27B434.21B598.83B848.31B382.54B695.11B2.18T1.91T2.88T
Total Debt+117.3B135.31B341.55B477.8B660.37B204.69B325.05B1.06T902.31B1.46T
Net Debt103.2B109.95B281.42B388.49B508.78B159.55B249.79B916.86B787.68B1.21T
Debt / Equity3.15x2.75x2.77x3.76x3.60x1.18x0.73x0.59x0.58x0.66x
Debt / EBITDA5.55x11.29x8.21x-5.86x5.38x0.91x--6.32x
Net Debt / EBITDA4.88x9.17x6.77x-4.51x4.20x0.70x--5.24x
Interest Coverage7.29x0.30x1.64x-4.31x4.59x0.72x3.07x-1.54x-2.24x4.03x
Total Equity+37.2B49.17B123.46B127.2B183.47B173.65B445.8B1.79T1.56T2.21T
Equity Growth %1.56%0.32%1.51%0.03%0.44%-0.05%1.57%3.03%-0.13%0.42%
Book Value per Share670.57931.892316.402394.543453.633192.026501.4625942.5322277.9233440.97
Total Shareholders' Equity13.66B16.41B37.25B24.04B37.79B53.2B177.43B779B696.24B970.59B
Common Stock495M499M482M486M499M589M590M586M594M607M
Retained Earnings9.52B11.06B14.4B-38.91B3.06B-15.82B45.62B130.96B45.8B123.99B
Treasury Stock-32M3M20M16M-225M-369M-795M000
Accumulated OCI2.9B4.1B8.19B41.99B3.23B9.77B3.87B186.85B181.67B481.32B
Minority Interest23.54B32.77B86.21B103.16B145.68B120.44B268.37B1.02T867.67B1.24T

Cash Flow

Jun 2016Jun 2017Jun 2018Jun 2019Jun 2020Jun 2021Jun 2022Jun 2023Jun 2024Jun 2025
Cash from Operations+4.22B16.55B24.15B38.37B88.01B31.42B174.66B188.03B68.61B151.32B
Operating CF Margin %0.27%0.24%0.26%0.81%1.07%0.21%0.23%0.27%0.1%0.17%
Operating CF Growth %7.24%2.92%0.46%0.59%1.29%-0.64%4.56%0.08%-0.64%1.21%
Net Income8.3B-5.21B-9.02B-65.51B56.1B-57.43B504.59B162.99B93.98B96.15B
Depreciation & Amortization1.54B7.84B9.74B735M4.83B2.94B9.89B2.69B10.57B16.24B
Stock-Based Compensation46M177M89M94M000000
Deferred Taxes5.79B1.83B-9.96B820M19.59B98.77B15.83B-270.18B-61.87B0
Other Non-Cash Items-10.84B9.52B30.64B106.76B-4.32B-39.9B-512.09B314.6B66.43B9.67B
Working Capital Changes-621M2.39B2.67B-4.53B11.81B27.02B156.44B-22.07B-40.51B29.27B
Change in Receivables-715M-2.62B82M666M13.21B14.79B36.67B42.46B100.19B-21.49B
Change in Inventory-127M3.32B1.81B183M13.17B24.62B188.8B20.11B40.99B52.26B
Change in Payables0000000000
Cash from Investing+8.64B-4.63B-31.55B15.85B111.46B258.54B103.27B55.42B129.06B-80.56B
Capital Expenditures-591M-5.25B-6.56B-2.7B-3.45B-7.15B-32.22B-67.61B-78.38B-45.73B
CapEx % of Revenue0.04%0.08%0.07%0.06%0.04%0.05%0.04%0.1%0.11%0.05%
Acquisitions----------
Investments----------
Other Investing-568M514M-20.22B8.98B95.82B223.87B214.74B125.44B168.92B-34.84B
Cash from Financing+-4.65B4.24B-4.01B-38.65B-191.05B-189.64B-296.48B-337.14B-310.52B86.18B
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-239M-4.54B00-2.55B-11.66B-66.59B-43.86B-123.59B-87.43B
Share Repurchases----------
Other Financing-5.9B-10.1B-4.27B-43.28B-194.75B-123.62B-128.82B-244.48B-211.71B-164.22B
Net Change in Cash----------
Free Cash Flow+3.54B10.46B15.93B35.35B84.39B23.97B141.53B93.76B-11.93B105.59B
FCF Margin %0.23%0.15%0.17%0.74%1.03%0.16%0.18%0.13%-0.02%0.12%
FCF Growth %12.46%1.96%0.52%1.22%1.39%-0.72%4.91%-0.34%-1.13%9.85%
FCF per Share63.79198.23298.79665.521588.46440.572064.021355.40-169.891595.00
FCF Conversion (FCF/Net Income)0.82x-26.52x3.96x-0.95x9.09x-0.71x0.59x1.15x0.87x1.57x
Interest Paid00000000089.34B
Taxes Paid0000000000

Key Ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)19.97%-1.44%7.07%-32.11%6.23%-24.88%95.91%14.55%4.67%5.09%
Return on Invested Capital (ROIC)18.07%2.08%8.47%-6.8%13.4%5.13%50.48%-5.67%-4.04%5.74%
Gross Margin43.85%37.11%35.81%50.46%42.56%18.84%44.3%54.61%40.98%39.46%
Net Margin33.08%-0.92%6.55%-84.68%11.77%-29.64%38.69%23.04%11.03%10.52%
Debt / Equity3.15x2.75x2.77x3.76x3.60x1.18x0.73x0.59x0.58x0.66x
Interest Coverage7.29x0.30x1.64x-4.31x4.59x0.72x3.07x-1.54x-2.24x4.03x
FCF Conversion0.82x-26.52x3.96x-0.95x9.09x-0.71x0.59x1.15x0.87x1.57x
Revenue Growth176.4%334.69%37.34%-49.04%73.04%82.3%412.04%-7.85%0.56%28.51%

Revenue by Geography

20202021202220232024
Other Countries--32.12B46.28B163.35B
Other Countries Growth---44.11%252.93%
Brazil7.28B13.04B29.66B41.4B161.81B
Brazil Growth-79.10%127.58%39.55%290.86%

Frequently Asked Questions

Valuation & Price

Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) has a price-to-earnings (P/E) ratio of 0.0x. This may indicate the stock is undervalued or faces growth challenges.

Growth & Financials

Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) reported $857.48B in revenue for fiscal year 2025. This represents a 29884% increase from $2.86B in 2012.

Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) grew revenue by 28.5% over the past year. This is strong growth.

Yes, Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) is profitable, generating $104.60B in net income for fiscal year 2025 (10.5% net margin).

Dividend & Returns

Yes, Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) pays a dividend with a yield of 100.00%. This makes it attractive for income-focused investors.

Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) has a return on equity (ROE) of 5.1%. This is below average, suggesting room for improvement.

Cresud Sociedad Anónima, Comercial, Inmobiliaria, Financiera y Agropecuaria (CRESY) generated $103.84B in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

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