Crane NXT, Co. (CXT)

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CIK 0000025445 · NYSE · Miscellaneous Fabricated Metal Products

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Crane NXT, Co. reported revenue of $1.66B, up 11.4% from the prior year. The company was profitable, with a net margin of 8.8%. It held $3.12B in total assets against $1.86B in total liabilities.

Key ratios (FY2025)

14.9%
Operating margin
8.8%
Net margin
11.6%
Return on equity
+11.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$1.66B$1.49B$1.39B$1.34B$1.35B
Cost of Revenue$952.90M$821.70M$737.20M$713.70M$746.20M$1.93B$1.94B$2.16B$1.77B$1.76B
Gross Profit$1.24B$965.10M$1.18B$1.19B$1.02B$989.70M
Operating Income$246.70M$268.80M$286.80M$301.30M$279.20M$262.90M$183.10M$441.30M$388.40M$186.70M
Net Income$145.10M$184.10M$188.30M$204.90M$178.00M$181.00M$133.30M$335.60M$171.80M$122.80M
EPS (Diluted)$2.50$3.19$3.28$3.61$3.14$3.08$2.20$5.50$2.84$2.07
Total Assets$3.12B$2.39B$2.13B$2.13B$4.49B$4.62B$4.42B$4.04B$3.59B$3.43B
Total Liabilities$1.86B$1.32B$1.17B$1.35B
Shareholders' Equity$1.25B$1.06B$964.00M$783.80M$1.84B$1.53B$1.48B$1.53B$1.35B$1.15B
Cash & Equivalents$233.80M$165.80M$227.20M$230.70M$478.60M$551.00M$393.90M$343.40M$706.20M$509.70M
Operating Cash Flow$241.50M$214.10M$276.30M$306.00M$277.00M$309.50M$393.90M$413.80M$317.50M$318.10M
Capital Expenditures$43.20M$45.40M$31.10M$21.30M$18.60M$34.10M$64.40M$108.80M$49.00M$51.50M
Shares Outstanding58.00M57.80M57.50M56.70M56.70M58.80M60.60M61.00M60.40M59.30M
Dividends Per Share$0.68$0.64$0.42$1.88$1.72$1.72$1.56$1.40$1.32