Credo Technology Group Holding Ltd (CRDO)

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CIK 0001807794 · Nasdaq · Semiconductors & Related Devices

  • Sector Manufacturing
  • Incorporated E9
  • Fiscal year ends Apr 29

In fiscal 2026, Credo Technology Group Holding Ltd reported revenue of $1.34B, up 205.7% from the prior year. The company was profitable, with a net margin of 35.4% and a gross margin of 68.0%. It held $2.30B in total assets against $232.01M in total liabilities.

Key ratios (FY2026)

68.0%
Gross margin
33.3%
Operating margin
35.4%
Net margin
22.9%
Return on equity
+205.7%
Revenue growth (YoY)
Metric (FY)20262025202420232022202120202019
Revenue$1.34B$436.77M$192.97M$184.19M$106.48M$58.70M$53.84M
Cost of Revenue$426.77M$153.87M$73.54M$78.00M$42.46M$20.42M$7.73M
Gross Profit$908.35M$282.91M$119.43M$106.19M$64.02M$38.28M$46.11M
Operating Income$445.00M$37.12M-$37.06M-$21.23M-$21.97M-$25.23M$2.07M
Net Income$472.28M$52.18M-$28.37M-$16.55M-$22.18M-$27.51M$1.33M
EPS (Diluted)$2.51$0.29$-0.18$-0.11$-0.25$-0.40$0.00
Total Assets$2.30B$809.26M$601.93M$397.29M$375.69M$155.49M
Total Liabilities$232.01M$127.67M$61.73M$49.65M$41.53M$12.96M
Shareholders' Equity$2.06B$681.58M$540.20M$347.63M$334.16M-$55.43M-$9.41M-$12.82M
Cash & Equivalents$1.16B$236.33M$66.94M$108.58M$259.32M$103.76M
Operating Cash Flow$464.29M$65.08M$32.74M-$24.61M-$30.83M-$42.36M-$10.25M
Capital Expenditures$57.30M$36.06M$15.65M$21.71M$17.58M$6.06M$8.83M
Shares Outstanding188.23M181.16M155.09M146.56M88.40M69.10M71.73M