Crane financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
$1.89B $2.06B $2.26B $2.62B $2.60B $2.20B $2.18B $2.50B $2.58B $2.60B $2.93B $2.74B $2.75B $2.79B $3.35B $3.28B $2.94B $3.41B $3.37B $2.09B $0.00M
GM % Gross Margin %
31.29% 31.17% 32.40% 32.19% 32.76% 33.25% 34.04% 33.88% 33.70% 34.04% 34.75% 34.83% 36.02% 36.44% 35.82% 35.91% 34.26% 37.78% 39.70% 38.58% 0.00%
OM Operating Margin
7.74% 10.36% 10.99% 10.06% 10.08% 9.72% 11.01% 11.13% 12.75% 14.28% 12.15% 14.15% 13.30% 15.19% 14.91% 14.27% 10.95% 14.38% 15.65% 14.59% 0.00%
EPS Earnings Per Share
$2.18 $2.67 $3.19 $2.93 $2.15 $2.59 $3.43 $3.70 $4.18 $4.45 $4.13 $4.23 $4.53 $5.99 $6.02 $3.84 $6.55 $7.88 $4.29 $0.00
Div. Dividends
$0.40 $0.45 $0.55 $0.66 $0.76 $0.80 $0.86 $0.98 $1.08 $1.16 $1.26 $1.32 $1.32 $1.32 $1.40 $1.56 $1.72 $1.72 $1.88 $1.01 $0.00
PR % Payout Ratio %
19.14% 20.64% 20.60% 20.69% 25.94% 37.21% 33.20% 28.57% 29.19% 27.75% 28.31% 31.96% 31.21% 29.14% 23.37% 25.91% 44.79% 26.26% 23.86% 23.54% 0
Sha. Shares
59.05m 60.24m 61.03m 60.12m 59.83m 58.49m 58.45m 58.16m 56.93m 58.15m 58.98m 58.06m 58.66m 59.35m 59.45m 59.98m 57.98m 58.11m 56.05m 56.81m 56.81m
OCF Operating Cash Flow
$110.96M $181.55M $181.70M $232.83M $191.39M $189.01M $133.54M $149.81M $234.76M $239.40M $264.00M $229.30M $318.10M $317.50M $413.80M $393.90M $309.50M $498.50M $-151.60M $228.20M $0.00M
FCF Free Cash Flow
$88.45M $154.39M $154.53M $185.66M $146.25M $160.66M $112.50M $115.08M $205.45M $209.90M $220.22M $189.70M $266.60M $268.50M $305.00M $325.10M $275.40M $415.00M $-210.00M $86.30M $0.00M
FCFS Free Cash Flow Per Share
$1.49 $2.58 $2.54 $3.09 $2.45 $2.75 $1.92 $1.98 $3.58 $3.63 $3.75 $3.27 $4.56 $4.52 $5.12 $5.44 $4.72 $7.61 $-3.72 $3.27 $0.00