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Crane NXT, Inc. CXT Operating Cash Flow

Operating Cash Flow at other companies

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Viavi Solutions Inc.VIAV
$42.5M-4.9%
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Crane Co.CR
$122.3M+16.5%
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NCR AtleosNATL
-$9M-107%
Resolute Holdings Management logo
Resolute Holdings ManagementRHLD
-$116.8M-735%
Fidelity National Information Services logo
Fidelity National Information ServicesFIS
$494M+29.3%
Cass Information Systems logo
Cass Information SystemsCASS
$16.94M

Other financials

Income statement

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Revenue$493.2M+22.0%
Gross profit$208.6M+23.6%
Operating income$68.9M+43.8%
Net income$35.4M+42.2%
EPS (diluted)$0.61+41.9%

Balance sheet

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Cash & equivalents$241.1M+46.6%
Total debt$1.5B+28.4%
Total equity$1.3B+7.8%
Total assets$3.6B+23.2%

Cash flow

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CapEx$13.3M+90.0%
Free cash flow$73.4M+31.5%

Valuation

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Market cap$3.13B-3.3%
Enterprise value$4.35B+3.4%
P/E22.3×+0.9×
P/S1.7×-0.4×

Profitability

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Gross margin42.1%-0.9pp
Operating margin14%-1.0pp
Net margin7.8%-2.1pp
FCF margin12.4%+2.8pp

Returns & leverage

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Return on equity11.5%-2.5pp
Debt / equity1.2×+0.2×
Current ratio1.4×+0.2×

Where this comes from

Reported directly by Crane NXT, Inc. in its filing.

Tagged under the XBRL concept us-gaap:NetCashProvidedByUsedInOperatingActivities.

The source filing: Crane NXT, Inc.’s 10-Q, filed August 5, 2026.

Filed
Aug 5, 2026, 4:31 PM EDT
Fiscal quarter
Q2 FY2026
Calendar quarter
Q2 2026
Accession
0000025445-26-000034
(in millions)Six Months Ended / June 30, 2026Six Months Ended / June 30, 2025
Cash used for operating working capital(55.8)(48.1)
Long-term contract liabilities8.6(0.2)
Other(0.6)3.8
Total provided by operating activities72.743.7
Investing activities:
Proceeds from disposition of assets5.1
Payment for acquisitions, net of cash acquired(225.4)(394.0)
Capital expenditures(23.4)(20.1)

Item 1. Financial Statements (Unaudited)

FAQ

What is Crane NXT, Inc.'s operating cash flow?
Crane NXT, Inc. (CXT) reported operating cash flow of $86.7M in Q2 2026.
How has Crane NXT, Inc.'s operating cash flow changed year-over-year?
Crane NXT, Inc.'s operating cash flow increased by 38.1% year-over-year, from $62.8M to $86.7M.
What is the long-term trend for Crane NXT, Inc.'s operating cash flow?
Over 3 years (2022 to 2025), Crane NXT, Inc.'s operating cash flow has grown at a -7.6% compound annual growth rate (CAGR), from $306M to $241.5M.
What does operating cash flow mean?
Total cash generated by or used in core business operations — the single most important cash flow metric for assessing business health.

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