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FY'26FY'25FY'24FY'23
$1.16B+393%$236.33M+253%$66.94M-38.3%$108.58M-58.1%
$278.33M+42.7%$195.01M-43.2%$343.06M+214%$109.23M
$902.99M+90.9%$472.91M+186%$165.11M-17.1%$199.25M+199%
$725.66M+244%$211.13M+57.6%$133.97M-26.1%$181.2M+165%
$12.73M+35.3%$9.42M-46.1%$17.46M+50.4%
$24.58M+229%$7.47M+3.8%$7.2M-30.4%
$52.71M+484%$9.02M-57.8%$21.37M+298%
$2B+180%$713.53M+34.6%$530.27M+61.6%$328.23M-1.2%
$101.61M+59.7%$63.63M+45.7%$43.67M+8.6%$40.22M+84.1%
$44.2M+53.9%$28.73M+59.5%$18.02M+83.2%
$24.64M+61.7%$15.23M+16.5%$13.08M-12.0%$14.86M-12.4%
$92.8M$0
$29.26M$0
$46.24M+174%$16.86M+13.0%$14.93M+6.8%$13.98M+196%
$2.3B+184%$809.26M+34.4%$601.93M+51.5%$397.29M+5.7%
$320.16M+122%$144.46M+239%$42.56M-40.8%$71.86M+286%
$21.63M+34.3%$16.1M+78.9%$9M+39.1%$6.47M+37.3%
$4.83M+44.6%$3.34M+21.9%$2.74M+4.2%$2.63M+10.6%
$197.09M+83.0%$107.71M+141%$44.62M+43.8%$31.03M+17.1%
$20.62M+62.4%$12.69M+14.0%$11.13M-13.5%$12.87M-13.1%
$25.45M+58.7%$16.04M+15.6%$13.87M-10.5%$15.5M-9.8%
$14.3M+96.7%$7.27M+21.6%$5.98M+4.0%$5.75M+2,515%
$232.01M+81.7%$127.68M+107%$61.73M+24.3%$49.65M+19.6%
$9K+12.5%$8K0.0%$8K+14.3%$7K0.0%
$1.67B+119%$765.17M+13.2%$676.05M+48.7%$454.8M+7.1%
$389.12M+568%-$83.16M+38.6%-$135.35M-26.5%-$106.98M-18.3%
$2.43M+655%-$437K+15.8%-$519K-172%-$191K-930%
$2.06B+203%$681.58M+26.2%$540.2M+55.4%$347.64M+4.0%
$2.3B+184%$809.26M+34.4%$601.93M+51.5%$397.29M+5.7%
$52.71M+484%$9.02M-57.8%$21.37M+298%
$73.58M+145%$30.02M
$46.24M+174%$16.86M+13.0%$14.93M+6.8%$13.98M+196%
$24.64M+61.7%$15.23M+16.5%$13.08M-12.0%$14.86M-12.4%
$29.26M$0
$24.64M+61.7%$15.23M+16.5%$13.08M-12.0%$14.86M-12.4%
$46.24M+174%$16.86M+13.0%$14.93M+6.8%$13.98M+196%
$107.83M+49.0%$72.39M+24.3%$58.24M+83.8%
$278.33M+42.7%$195.01M-43.2%$343.06M+214%$109.23M
$24.64M+61.7%$15.23M+16.5%$13.08M-12.0%$14.86M-12.4%
$46.24M+174%$16.86M+13.0%$14.93M+6.8%$13.98M+196%
$13.53M-26.1%$18.3M+26.6%$14.45M+19.8%
$21.63M+34.3%$16.1M+78.9%$9M+39.1%$6.47M+37.3%
$21.63M+34.3%$16.1M+78.9%$9M+39.1%$6.47M+37.3%
$68.12M+92.1%$35.46M+59.7%$22.2M
$0.000.0%$0.000.0%$0.000.0%
171.2M+4.2%164.3M+10.5%148.7M+2.7%
$162.8M+52.9%$106.5M
$9K+12.5%$8K0.0%$8K+14.3%$7K0.0%
3.5M-45.5%6.4M-27.6%8.9M-21.9%
$2.23+13.2%$1.97-2.5%$2.02+4.1%
$107.83M+49.0%$72.39M+24.3%$58.24M+83.8%
$8.42M+41.5%$5.95M+39.4%$4.27M
$00.0%$00.0%$00.0%
$1B0.0%$1B0.0%$1B0.0%
$171.17M+4.2%$164.31M+10.5%$148.65M+2.7%
$171.17M+4.2%$164.31M+10.5%$148.65M+2.7%
$10.16M
$3.5M-45.5%$6.42M-27.6%$8.87M-21.9%
$2.23+13.2%$1.97-2.5%$2.02+4.1%
$162.8M+52.9%$106.5M

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Questions, answered.

What are Credo Technology Group Holding Ltd's total assets?
Credo Technology Group Holding Ltd (CRDO) holds $2.3B in total assets, up 183.7% year over year.
How much debt does Credo Technology Group Holding Ltd have?
Credo Technology Group Holding Ltd carries $25.4M in total debt against $2.1B of shareholders' equity, a debt-to-equity ratio of 0.01.
How much cash does Credo Technology Group Holding Ltd have?
Credo Technology Group Holding Ltd holds $1.2B in cash and equivalents.
Can Credo Technology Group Holding Ltd cover its short-term obligations?
Its current ratio is 10.15 — current assets exceed current liabilities.
Where does Credo Technology Group Holding Ltd's balance sheet data come from?
Every line is extracted from Credo Technology Group Holding Ltd'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.