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FY'26FY'25FY'24FY'23
$472.28M+805%$52.18M+284%-$28.37M-71.4%-$16.55M+25.4%
$34.51M+57.0%$21.99M+60.1%$13.74M+44.3%$9.52M+98.4%
$182.64M+136%$77.36M+98.2%$39.02M+65.9%$23.52M+156%
$102.48M
$174.04M+147%$70.47M+547%-$15.76M-160%$26.07M+20.2%
$48.75M+16.3%$41.93M+361%$9.09M+336%-$3.84M-181%
$26.45M+1,366%-$2.09M$7.98M
$400K$0$0
$44.8M$19.84M
$464.29M+613%$65.08M+92.7%$33.77M+228%-$26.37M
$57.3M+58.9%$36.06M+130%$15.65M-27.9%$21.71M+23.5%
$0
$403.59M+153%$159.23M
$310.01M-23.8%$406.78M+140%$169.75M+240%$50M
-$249.49M-90.5%-$130.94M-645%
$7.83M+11.0%$7.06M+28.2%$5.5M+101%
$19.16M+107%$9.25M+329%$2.16M$0
$722.96M+9,455%-$7.73M-104%$175.28M+3,488%$4.89M-97.6%
$231K
$984.14M-$41.64M+72.4%-$150.74M-197%
$2.47M+70.8%$1.45M+37.3%$1.05M-12.5%$1.2M+182%
$400K$0$0
$0-100%$13.22M+236%$3.94M+225%$1.21M+91.6%
$25.48M+59.9%$15.93M+200%$5.31M
$44.8M$19.84M
$15.12M+90.1%$7.95M+80.9%$4.4M-22.8%$5.69M+294%
$403.59M+153%$159.23M
$310.01M-23.8%$406.78M+140%$169.75M+240%$50M
$6.62M+5.0%$6.31M$616K
$7.08M-9.6%$7.83M+11.0%$7.06M
$407M+1,302%$29.02M-$46.33M+4.3%
$407M+1,302%$29.02M-$46.33M+4.3%

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Questions, answered.

How much cash does Credo Technology Group Holding Ltd generate?
Credo Technology Group Holding Ltd (CRDO) generated $464.3M in operating cash flow over the trailing twelve months.
What is Credo Technology Group Holding Ltd's free cash flow?
After $57.3M of capital expenditures, Credo Technology Group Holding Ltd's free cash flow was $407.0M over the trailing twelve months, up 1302.4% year over year.
Where does Credo Technology Group Holding Ltd's cash flow 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.