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CR logoCrane Company(CR)Earnings, Financials & Key Ratios

CR•NYSE
$181.61
$10.49B mkt cap·29.0× P/E·Price updated May 6, 2026
SectorIndustrialsIndustryIndustrial MachinerySub-IndustryFlow control and water equipment
AboutCrane Company, together with its subsidiaries, manufactures and sells engineered industrial products in the Americas, Europe, the Middle East, Asia, and Australia. The company has four business segments: Aerospace & Electronics, Process Flow Technologies, Payment & Merchandising Technologies, and Engineered Materials. The Aerospace & Electronics segment supplies critical components and systems, including original equipment and aftermarket parts, primarily for the commercial aerospace, and the military aerospace, defense, and space markets. This segment also offers pressure sensors for aircraft engine control, aircraft braking systems for fighter jets, power conversion solutions for spacecraft, and lubrication systems. The Process Flow Technologies segment provides engineered fluid handling equipment for mission critical applications. It offers process valves and related products, commercial valves, and pumps and systems. The Payment & Merchandising Technologies segment provides electronic equipment and associated software leveraging extensive, and proprietary core capabilities, including payment verification and authentication, as well as automation solutions, field service solutions, remote diagnostics, and productivity enhancing software solutions. The Engineered Materials segment manufactures fiberglass-reinforced plastic panels and coils, primarily for use in the manufacturing of recreational vehicles and in commercial and industrial buildings applications. It provides products and solutions to customers across end markets, including aerospace, defense, chemical and pharmaceutical, water and wastewater, payment automation, non-residential and municipal construction, energy, and banknote design and production, as well as for a range of general industrial and consumer applications. The company was formerly known as Crane Holdings, Co. Crane Company was founded in 1855 and is based in Stamford, Connecticut.Show more
  • Revenue$2.31B+8.2%
  • EBITDA$474M+16.6%
  • Net Income$367M+24.4%
  • EPS (Diluted)6.26+24.0%
  • Gross Margin42.2%+3.6%
  • EBITDA Margin20.58%+7.8%
  • Operating Margin18.4%+10.2%
  • Net Margin15.9%+15.0%
  • ROE19.79%+0.8%
  • ROIC19.86%+11.6%
  • Debt/Equity0.59+202.9%
  • Interest Coverage39.30+213.6%
Analysis→Technical→

CR Key Insights

Crane Company (CR) fundamental analysis — strengths, weaknesses & financial health based on data analysis

✓Strengths

  • ✓Strong 5Y profit CAGR of 15.2%
  • ✓Good 3Y average ROE of 18.4%
  • ✓Healthy 5Y average net margin of 17.4%

✗Weaknesses

No significant weaknesses identified

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

CR Price & Volume

Crane Company (CR) stock price & volume — 10-year historical chart

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CR Growth Metrics

Crane Company (CR) revenue, earnings & EPS growth — 3, 5 & 10-year CAGR

Revenue CAGR

10 Years-1.72%
5 Years-4.73%
3 Years9.07%
TTM9.71%

Profit CAGR

10 Years4.82%
5 Years15.16%
3 Years-2.95%
TTM-3.09%

EPS CAGR

10 Years4.87%
5 Years15.24%
3 Years-3.7%
TTM-6.35%

Return on Capital

10 Years14.45%
5 Years10.01%
3 Years14.6%
Last Year15.46%

CR Recent Earnings

Crane Company (CR) EPS & revenue vs analyst estimates — last 4 quarters

Full history →
●Beat EPS 12/12 qtrs (100%)●Beat Revenue 9/12 qtrs (75%)
Q2 2026Latest
Apr 27, 2026
EPS
$1.65
Est $1.44
+14.6%
Revenue
$696M
Est $673M
+3.5%
Q1 2026
Jan 26, 2026
EPS
$1.53
Est $1.43
+7.0%
Revenue
$581M
Est $571M
+1.7%
Q4 2025
Oct 27, 2025
EPS
$1.64
Est $1.49
+10.1%
Revenue
$589M
Est $579M
+1.8%
Q3 2025
Jul 28, 2025
EPS
$1.49
Est $1.34
+11.2%
Revenue
$577M
Est $579M
-0.3%
QuarterDateEPS (Act vs Est)Revenue (Act vs Est)
Q2 2026LatestApr 27, 2026
$1.65vs $1.44+14.6%
$696Mvs $673M+3.5%
Q1 2026Jan 26, 2026
$1.53vs $1.43+7.0%
$581Mvs $571M+1.7%
Q4 2025Oct 27, 2025
$1.64vs $1.49+10.1%
$589Mvs $579M+1.8%
Q3 2025Jul 28, 2025
$1.49vs $1.34+11.2%
$577Mvs $579M-0.3%
Based on last 12 quarters of dataView full earnings history →

CR Peer Comparison

Crane Company (CR) competitors in Flow control and water equipment — business model, growth, and fundamentals comparison

Select Columns
Stock Universe
Valuation
Growth
Profitability
Financial Health
Dividends & Buybacks
Price Performance
Technical
Fundamentals ($)
Sector-Specific
CompanyMarket CapStock PriceP/E Ratio (TTM)Revenue Growth 1YNet MarginReturn on Equity (ROE)FCF YieldDebt / Equity
IEX logoIEXIDEX CorporationDirect Competitor16.22B218.1934.045.77%14.38%12.62%0.45
FLS logoFLSFlowserve CorporationDirect Competitor9.38B73.3827.803.76%7.61%15.5%0.85
GNSS logoGNSSGenasys Inc.Direct Competitor89.97M1.99-4.9869.76%-29.19%-8.22%9.85
PNR logoPNRPentair plcProduct Competitor12.92B79.9720.192.28%15.97%17.74%0.42
RBC logoRBCRBC Bearings IncorporatedProduct Competitor20.38B623.1380.934.87%15%8.24%0.34
GFF logoGFFGriffon CorporationProduct Competitor4.31B92.5884.94-3.95%1.76%41%21.52
BWXT logoBWXTBWX Technologies, Inc.Product Competitor19.72B215.2059.9418.3%10.21%27.91%1.63
MLM logoMLMMartin Marietta Materials, Inc.Supply Chain37.12B615.4832.740.12%38.67%25.07%0.53

Compare CR vs Peers

Crane Company (CR) vs competitors — business, growth, and fundamentals comparison against the closest industry rivals.

Closest Rival

vs IEX

Most directly comparable listed peer for CR.

Scale Benchmark

vs DHR

Larger-name benchmark to compare CR against a more recognizable public peer.

Peer Set

Compare Top 5

vs IEX, FLS, GNSS, PNR

CR Income Statement

Crane Company (CR) annual income statement — 10-year revenue, gross profit & net income history

10Y historyFree accessUpdated daily
Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Sales/Revenue2.79B3.35B3.28B2.94B2.06B1.78B1.86B2.13B2.31B2.44B
Revenue Growth %1.38%20.08%-1.87%-10.54%-29.76%-13.87%4.81%14.45%8.15%9.71%
Cost of Goods Sold1.77B2.16B2.1B1.93B1.37B1.12B1.11B1.26B1.33B1.43B
COGS % of Revenue63.56%64.45%64.09%65.74%66.61%62.78%59.67%59.28%57.8%-
Gross Profit
1.02B▲ 0%
1.19B▲ 17.2%
1.18B▼ 0.9%
1.01B▼ 14.7%
688.8M▼ 31.5%
661.2M▼ 4.0%
751M▲ 13.6%
867.8M▲ 15.6%
972.8M▲ 12.1%
1.02B▲ 0%
Gross Margin %36.44%35.55%35.91%34.26%33.39%37.22%40.33%40.72%42.2%41.6%
Gross Profit Growth %2.57%17.16%-0.87%-14.66%-31.54%-4.01%13.58%15.55%12.1%-
Operating Expenses626.7M748M968.6M743.3M467.1M655.9M500.6M512M548.6M593.3M
OpEx % of Revenue22.49%22.36%29.5%25.31%22.64%36.92%26.88%24.02%23.8%-
Selling, General & Admin592M690.6M711.6M715.8M489.3M507.5M473.5M526.9M548.6M593.3M
SG&A % of Revenue21.25%20.64%21.67%24.37%23.72%28.56%25.43%24.72%23.8%-
Research & Development58.5M89.1M74.7M74.6M49.5M48.3M54.8M46.1M00
R&D % of Revenue2.1%2.66%2.28%2.54%2.4%2.72%2.94%2.16%--
Other Operating Expenses-23.8M-31.7M182.3M-47.1M-71.7M100.1M-27.7M-61M00
Operating Income
388.4M▲ 0%
441.3M▲ 13.6%
210.4M▼ 52.3%
262.9M▲ 25.0%
221.7M▼ 15.7%
5.3M▼ 97.6%
250.4M▲ 4624.5%
355.8M▲ 42.1%
424.2M▲ 19.2%
423.2M▲ 0%
Operating Margin %13.94%13.19%6.41%8.95%10.75%0.3%13.45%16.69%18.4%17.32%
Operating Income Growth %108.03%13.62%-52.32%24.95%-15.67%-97.61%4624.53%42.09%19.22%-
EBITDA461.1M561.3M323.9M390.4M260.1M39M285.8M406.8M474.4M489M
EBITDA Margin %16.55%16.78%9.87%13.29%12.61%2.2%15.35%19.09%20.58%20.01%
EBITDA Growth %81.46%21.73%-42.29%20.53%-33.38%-85.01%632.82%42.34%16.62%12.54%
D&A (Non-Cash Add-back)72.7M120M113.5M127.5M38.4M33.7M35.4M51M50.2M65.8M
EBIT423.1M498.7M448.5M290.4M199.5M153.7M277.5M340.9M444.1M440.9M
Net Interest Income-33.6M-48.6M-44.1M-53.3M-45.5M-6.9M-17.6M-21.7M-100K-14M
Interest Income2.5M2.3M2.7M2M1.4M3.2M5.1M5.5M11.2M9.6M
Interest Expense36.1M50.9M46.8M55.3M46.9M10.1M22.7M27.2M11.3M23.6M
Other Income/Expense-20.9M-29.9M-39.7M-38.4M12M231.2M-17.3M-17.3M8.6M-4.1M
Pretax Income
367.5M▲ 0%
411.4M▲ 11.9%
170.7M▼ 58.5%
224.5M▲ 31.5%
233.7M▲ 4.1%
236.5M▲ 1.2%
233.1M▼ 1.4%
338.5M▲ 45.2%
432.8M▲ 27.9%
419.1M▲ 0%
Pretax Margin %13.19%12.3%5.2%7.64%11.33%13.31%12.52%15.88%18.78%17.15%
Income Tax195M75.9M37.1M43.4M36.3M70.1M57.2M70.3M101.1M98.6M
Effective Tax Rate %53.06%18.45%21.73%19.33%15.53%29.64%24.54%20.77%23.36%23.53%
Net Income
171.8M▲ 0%
335.6M▲ 95.3%
133.3M▼ 60.3%
181M▲ 35.8%
435.4M▲ 140.6%
401.1M▼ 7.9%
255.9M▼ 36.2%
294.7M▲ 15.2%
366.6M▲ 24.4%
326.6M▲ 0%
Net Margin %6.17%10.03%4.06%6.16%21.11%22.58%13.74%13.83%15.9%13.36%
Net Income Growth %39.9%95.34%-60.28%35.78%140.55%-7.88%-36.2%15.16%24.4%-3.09%
Net Income (Continuing)172.5M335.5M133.6M181.1M197.4M166.4M175.9M268.2M331.7M320.5M
Discontinued Operations0000238M234.7M80M26.5M34.9M1000K
Minority Interest3.3M2.9M02.2M2.8M2.6M2.5M2.3M2.3M0
EPS (Diluted)
2.84▲ 0%
5.50▲ 93.7%
2.20▼ 60.0%
3.08▲ 40.0%
7.35▲ 138.6%
7.01▼ 4.6%
4.45▼ 36.5%
5.05▲ 13.5%
6.26▲ 24.0%
5.56▲ 0%
EPS Growth %37.2%93.66%-60%40%138.64%-4.63%-36.52%13.48%23.96%-6.35%
EPS (Basic)2.895.632.233.107.467.114.515.156.38-
Diluted Shares Outstanding60.4M61M60.6M58.8M59.2M57.2M57.5M58.3M58.6M58.7M
Basic Shares Outstanding59.4M59.6M59.8M58.3M58.4M56.4M56.7M57.2M57.5M57.7M
Dividend Payout Ratio45.63%24.88%69.92%55.47%23.11%26.4%22.39%15.91%14.43%-

CR Balance Sheet

Crane Company (CR) balance sheet — assets, liabilities & shareholders' equity

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Total Current Assets1.52B1.36B01.57B1.74B1.75B1.09B1.4B2.57B1.48B
Cash & Short-Term Investments706.2M343.4M0551M478.6M427M329.6M306.7M1.73B355.4M
Cash Only706.2M343.4M0551M478.6M427M329.6M306.7M1.73B355.4M
Short-Term Investments0000000000
Accounts Receivable443.4M570.7M0505M559.1M326.6M361.3M407.6M358.7M493.8M
Days Sales Outstanding58.0962.26-62.7698.9267.170.8269.8156.863.5
Inventory349.3M411.5M0429.7M440.9M294.2M343.9M380.4M376.5M507.1M
Days Inventory Outstanding71.9969.66-81.23117.1296.26112.97109.9103.15107.44
Other Current Assets19.6M76.2M088M265.6M704.1M56M308.5M106.4M125.4M
Total Non-Current Assets2.08B2.68B03.04B2.74B2.64B1.26B1.24B1.28B2.57B
Property, Plant & Equipment282.4M599.1M0677.4M623.8M248.3M307.7M330.4M343.6M367.7M
Fixed Asset Turnover9.87x5.58x-4.34x3.31x7.16x6.05x6.45x6.71x7.73x
Goodwill1.21B1.4B01.44B1.41B690.9M576.4M661.6M683.9M1.35B
Intangible Assets276.8M481.8M0519.1M465.9M71.7M87.1M159.9M149.5M0
Long-Term Investments-14.1M56.2M072.5M60M00000
Other Non-Current Assets495.6M602M0293.6M162.5M1.63B268.9M75.6M101.5M1.25B
Total Assets
3.59B▲ 0%
4.04B▲ 12.5%
0▼ 100.0%
4.62B▲ 0%
4.49B▼ 2.8%
4.39B▼ 2.1%
2.35B▼ 46.5%
2.64B▲ 12.4%
3.85B▲ 45.9%
4.05B▲ 0%
Asset Turnover0.78x0.83x-0.64x0.46x0.40x0.79x0.81x0.60x0.75x
Asset Growth %4.83%12.49%-100%--2.78%-2.12%-46.46%12.35%45.86%96.89%
Total Current Liabilities837.5M741.1M01.06B795.2M1.49B467.1M543.4M465.2M520.2M
Accounts Payable247.4M329.2M0198.9M246.7M179.2M156.9M188.2M189.6M211.2M
Days Payables Outstanding50.9955.73-37.665.5358.6451.5454.3751.9544.71
Short-Term Debt249.4M6.9M0398.7M22.5M411.2M10.4M13M13.6M5.6M
Deferred Revenue (Current)27M50.8M0103M101.1M49.4M41M36.3M46M123M
Other Current Liabilities130.2M136M0235.4M239.2M713.4M136.7M181.8M92.6M303.4M
Current Ratio1.81x1.84x-1.49x2.19x1.18x2.34x2.58x5.53x5.53x
Quick Ratio1.40x1.28x-1.08x1.64x0.98x1.60x1.88x4.72x4.72x
Cash Conversion Cycle79.0976.2-106.39150.51104.72132.25125.33108.01126.22
Total Non-Current Liabilities1.41B1.77B02.03B1.86B999.4M524M457.5M1.32B1.43B
Long-Term Debt494.1M942.3M0842.9M842.4M0248.5M247M1.15B1.19B
Capital Lease Obligations00086.4M79.3M49.7M55.9M59.3M54.4M54.4M
Deferred Tax Liabilities44.9M53.2M053.6M71.1M55.3M36.1M34.8M45.9M228.6M
Other Non-Current Liabilities868.5M779.9M01.04B863.5M894.4M183.5M116.4M76.3M524.3M
Total Liabilities2.25B2.52B03.08B2.65B2.49B991.1M1B1.79B1.95B
Total Debt743.5M948.2M01.33B944.2M460.9M314.8M319.3M1.22B1.2B
Net Debt37.3M604.8M0777M465.6M33.9M-14.8M12.6M-513.6M842.8M
Debt / Equity0.55x0.62x-0.87x0.51x0.24x0.23x0.19x0.59x0.59x
Debt / EBITDA1.61x1.69x-3.40x3.63x11.82x1.10x0.78x2.56x2.45x
Net Debt / EBITDA0.08x1.08x-1.99x1.79x0.87x-0.05x0.03x-1.08x-1.08x
Interest Coverage11.72x9.80x9.58x5.25x4.25x15.22x12.22x12.53x39.30x18.68x
Total Equity
1.35B▲ 0%
1.53B▲ 13.2%
0▼ 100.0%
1.53B▲ 0%
1.84B▲ 19.9%
1.9B▲ 3.8%
1.36B▼ 28.6%
1.64B▲ 20.6%
2.06B▲ 25.7%
2.1B▲ 0%
Equity Growth %16.78%13.18%-100%-19.86%3.75%-28.56%20.64%25.74%97.88%
Book Value per Share22.3825.08-26.0431.0033.2923.6628.1535.2135.76
Total Shareholders' Equity1.35B1.53B01.53B1.83B1.9B1.36B1.64B2.06B2.1B
Common Stock72.4M72.4M072.4M72.4M72.4M56.9M57.3M57.6M0
Retained Earnings1.81B2.07B02.19B2.53B2.82B960.7M1.22B1.53B0
Treasury Stock-452.1M-476.2M0-600.6M-691.1M-864.3M0000
Accumulated OCI-380.1M-447.6M0-466.4M-440.2M1.01B-58M-61.9M20M0
Minority Interest3.3M2.9M02.2M2.8M2.6M2.5M2.3M2.3M0

CR Cash Flow Statement

Crane Company (CR) cash flow — operating, investing & free cash flow history

Line itemDec'17Dec'18Dec'19Dec'20Dec'21Dec'22Dec'23Dec'24Dec'25TTM
Cash from Operations317.5M413.8M393.9M309.5M498.5M-472.2M228.2M272.8M394.8M394.8M
Operating CF Margin %11.4%12.37%12%10.54%24.16%-26.58%12.26%12.8%17.13%-
Operating CF Growth %-0.19%30.33%-4.81%-21.43%61.07%-194.72%148.33%19.54%44.72%-59.31%
Net Income171.8M335.6M133.3M181M197.4M171.6M175.9M268.2M331.7M326.6M
Depreciation & Amortization72.7M120M113.5M127.5M38.4M39.6M35.4M51M50.2M65.8M
Stock-Based Compensation21.8M21.6M22.3M22.3M21.7M0025.6M27.2M26.3M
Deferred Taxes104.3M45.9M-31M10.2M-4.9M800K-18.7M-11.6M-2.1M-2.1M
Other Non-Cash Items-107.1M-125.6M195.8M-77.5M215.8M-653.9M86.9M-8.6M-21.1M-254.2M
Working Capital Changes54M16.3M-40M46M30.1M-30.3M-51.3M-51.8M8.9M155.3M
Change in Receivables-10.1M4.8M3.8M138.5M-36.5M-46.6M-23.7M-32.1M01.4M
Change in Inventory6.4M-38.8M-8.3M35.4M-27.4M-42.1M-42.1M-21.2M01.4M
Change in Payables17.5M37M-23.4M-102.6M32.3M43.1M-1.9M23.8M04.7M
Cash from Investing-86.7M-752.3M-221M-229.1M-300K285.3M-136.6M-233.2M165.5M-1.39B
Capital Expenditures-49M-108.8M-68.8M-34.1M-35.3M-37.1M-39M-36.6M-53.5M-50M
CapEx % of Revenue1.76%3.25%2.1%1.16%1.71%2.09%2.09%1.72%2.32%-
Acquisitions-60M-645.4M-156.4M-169.5M0318.1M-90.5M-199.5M4.9M-1.35B
Investments----------
Other Investing-26.7M1.9M3.1M4.5M5M4.3M-7.1M2.9M214.1M6.5M
Cash from Financing-80.8M-7.9M-124.6M55.1M-557.9M106M-423.2M-49.7M838.8M886.8M
Debt Issued (Net)0115M45.6M221.7M-375.2M0-159.6M-1.9M896.9M896.9M
Equity Issued (Net)-25M-50.1M-79.9M-70M-96.3M-187.5M21.8M-900K010.4M
Dividends Paid-78.4M-83.5M-93.2M-100.4M-100.6M-105.9M-57.3M-46.9M-52.9M-54.4M
Share Repurchases-25M-50.1M-79.9M-70M-96.3M-203.7M0001.5M
Other Financing22.6M10.7M2.9M3.8M14.2M399.4M-228.1M0-5.2M33.9M
Net Change in Cash
196.5M▲ 0%
-362.8M▼ 284.6%
50.5M▲ 113.9%
157.1M▲ 211.1%
-72.4M▼ 146.1%
-51.6M▲ 28.7%
-97.4M▼ 88.8%
-21.4M▲ 78.0%
1.42B▲ 6750.0%
-79.7M▲ 0%
Free Cash Flow
268.5M▲ 0%
305M▲ 13.6%
325.1M▲ 6.6%
275.4M▼ 15.3%
463.2M▲ 68.2%
-509.3M▼ 210.0%
189.2M▲ 137.1%
236.2M▲ 24.8%
341.3M▲ 44.5%
261.6M▲ 0%
FCF Margin %9.64%9.12%9.9%9.38%22.45%-28.67%10.16%11.08%14.81%10.7%
FCF Growth %0.71%13.59%6.59%-15.29%68.19%-209.95%137.15%24.84%44.5%-1.21%
FCF per Share4.455.005.364.687.82-8.903.294.055.825.82
FCF Conversion (FCF/Net Income)1.85x1.23x2.95x1.71x1.14x-1.18x0.89x0.93x1.08x0.80x
Interest Paid36M47.5M47.4M53.8M2.9M0024.4M04M
Taxes Paid84.1M58.4M35.1M46.5M33.9M0088.9M063.8M

CR Key Ratios

Crane Company (CR) financial ratios — P/E, ROE, debt and 30+ core market and balance-sheet ratios

Metric201720182019202020212022202320242025TTM
Return on Equity (ROE)13.69%23.29%-11.82%25.87%21.45%15.68%19.64%19.79%16.29%
Return on Invested Capital (ROIC)20.94%18.78%52.18%10.27%7.22%0.19%11.44%17.8%19.86%19.86%
Gross Margin36.44%35.55%35.91%34.26%33.39%37.22%40.33%40.72%42.2%41.6%
Net Margin6.17%10.03%4.06%6.16%21.11%22.58%13.74%13.83%15.9%13.36%
Debt / Equity0.55x0.62x-0.87x0.51x0.24x0.23x0.19x0.59x0.59x
Interest Coverage11.72x9.80x9.58x5.25x4.25x15.22x12.22x12.53x39.30x18.68x
FCF Conversion1.85x1.23x2.95x1.71x1.14x-1.18x0.89x0.93x1.08x0.80x
Revenue Growth1.38%20.08%-1.87%-10.54%-29.76%-13.87%4.81%14.45%8.15%9.71%

CR SEC Filings & Documents

Crane Company (CR) SEC filings — annual & quarterly reports (10-K, 10-Q)

8-K Announcements

6
Material company update

Apr 27, 2026·SEC

Material company update

Apr 27, 2026·SEC

Material company update

Apr 27, 2026·SEC

10-K Annual Reports

4
FY 2026

Feb 26, 2026·SEC

FY 2026

Feb 26, 2026·SEC

FY 2025

Feb 27, 2025·SEC

10-Q Quarterly Reports

6
FY 2025

Nov 5, 2025·SEC

FY 2025

Oct 29, 2025·SEC

FY 2025

Aug 6, 2025·SEC

CR Frequently Asked Questions

Crane Company (CR) stock FAQ — growth, dividends, profitability & financials explained

Growth & Financials

Crane Company (CR) reported $2.44B in revenue for fiscal year 2025. This represents a 32% increase from $1.85B in 1996.

Crane Company (CR) grew revenue by 8.2% over the past year. This is steady growth.

Yes, Crane Company (CR) is profitable, generating $326.6M in net income for fiscal year 2025 (15.9% net margin).

Dividend & Returns

Yes, Crane Company (CR) pays a dividend with a yield of 0.50%. This makes it attractive for income-focused investors.

Crane Company (CR) has a return on equity (ROE) of 19.8%. This is reasonable for most industries.

Crane Company (CR) generated $261.6M in free cash flow for fiscal year 2025. Positive FCF indicates the company can fund dividends, buybacks, or reinvestment.

Explore More CR

Crane Company (CR) financial analysis — history, returns, DCA and operating performance tools

Full CR Stock Analysis

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Dividend History

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Earnings History

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Price History

Long-term charts & historical price data

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Revenue History

Sales growth patterns & revenue breakdown

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Financial Ratios

30 years of market, efficiency and balance-sheet ratios

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Valuation

DCF intrinsic value, peer multiples & estimates

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