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Crawford & Company CRD.A Cash Flow Statement

FY'25FY'24FY'23FY'22
$26.53M-15.1%$31.25M+269%-$18.53M-161%
$40.04M+10.6%$36.2M+1.3%$35.74M-1.0%$36.1M-10.2%
$5.19M-10.0%$5.77M+2.9%$5.6M+13.8%$4.92M-35.1%
-$2.73M-2,574%-$102K+84.7%-$666K
-$26.37M-345%$10.74M+192%-$11.66M-175%$15.54M
-$8.83M-$9.56M-29,766%
-$2.95M$5.91M
$1.34M$13.06M
$7.99M-3.8%$8.31M+15.9%$7.17M
$101.85M+97.3%$51.62M-50.3%$103.79M+276%$27.63M-49.1%
$7.01M+10.8%$6.33M+29.5%$4.89M-28.5%$6.84M-25.9%
-$36.21M+13.1%-$41.65M-13.8%-$36.6M+36.8%-$57.88M+18.3%
$14.33M+4.2%$13.76M+8.3%$12.7M+7.3%$11.84M-6.5%
$10.51M+172%$3.87M+41.6%$2.73M
$54.72M-22.0%$70.2M+86.8%$37.58M-64.7%$106.48M-6.0%
$84.45M+37.1%$61.58M-10.8%$69.07M+77.0%$39.03M-25.4%
$2.06M+6.0%$1.95M+177%$704K-50.1%
$3.35M-52.6%$7.06M+233%$2.12M
$2.03M$0$0-100%$7K-99.7%
-$57.62M-$54.68M
-$326K-$2.74M
$12.9M
$17.39M$18.91M
$16.96M$16.05M
$537K$4.03M
-$2.73M-2,574%-$102K+84.7%-$666K
$7.99M-3.8%$8.31M+15.9%$7.17M
-$8.83M-$9.56M-29,766%
-$5.35M
$31.54M-11.0%$35.44M+11.8%$31.71M+14.2%$27.76M+27.8%
$0$0
-$119K-20.2%-$99K+56.8%-$229K
$54.72M-22.0%$70.2M+86.8%$37.58M-64.7%$106.48M-6.0%
$84.45M+37.1%$61.58M-10.8%$69.07M+77.0%$39.03M-25.4%
-$2.95M$5.91M
$16.96M$16.05M
$94.83M+109%$45.41M-54.1%$98.9M+376%$20.8M-53.9%
$94.83M+109%$45.41M-54.1%$98.9M+376%$20.8M-53.9%

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Questions, answered.

How much cash does Crawford & Company generate?
Crawford & Company (CRD.A) generated $119.0M in operating cash flow over the trailing twelve months.
What is Crawford & Company's free cash flow?
After $7.9M of capital expenditures, Crawford & Company's free cash flow was $111.1M over the trailing twelve months, up 114.4% year over year.
Where does Crawford & Company's cash flow data come from?
Every line is extracted from Crawford & Company's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.