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CRAWA

Crawford United Corp

Price Chart

No historical data available

Latest Quote

$82.43

-0.23 (-0.28%)
Current Price
Previous Close $82.66
Open $82.02
Day High $82.66
Day Low $82.00
Volume 8,474
Fetched: 2026-03-24T16:31:49
Stock Information
Shares Outstanding 2.82M
Total Debt $17.01M
Cash Equivalents $1.92M
Revenue $174.73M
Net Income $17.61M
Sector Industrials
Industry Specialty Industrial Machinery
Market Cap $292.79M
P/E Ratio 16.65
EPS (TTM) $4.95
Exchange PNK
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Recent Price History
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About Crawford United Corp

Crawford United Corporation, together with its subsidiaries, provides specialty industrial products in the United States, Canada, the United Kingdom, Puerto Rico, and internationally. It operates through two segments, Commercial Air Handling Equipment, and Industrial and Transportation Products. The Commercial Air Handling segment designs, manufactures, and installs large-scale commercial, institutional, and industrial custom air handling solutions to health care, education, pharmaceutical, and industrial manufacturing markets under the FactoryBilt and SiteBilt brand names. The Industrial and Transportation Products segment is involved in the manufacture of interlocking metal hoses primarily for heavy-duty truck manufacturers and aftermarket suppliers, as well as for the agricultural, industrial, and petrochemical markets; and distribution of silicone and hydraulic hoses to the agriculture and industrial markets. It also provides engineering, machining, grinding, welding, brazing, heat treat, and assembly solutions; rubber and plastic marine hose for the recreational boating industry; engineered manufacturing solutions, including for defense, aerospace, and medical device markets; and hydraulic hoses, air tank assemblies, and related products to manufacturers of firefighting trucks and other emergency vehicles, as well as coatings solutions for aerospace, industrial, and bio-medical applications. The company engages in the supply of engineered forgings; and development and commercialization of marketing and data analytic technology applications. Further, it designs, develops, manufactures, distributes and sells oil change systems, fuel and oil transfer pumps, fuel primers, fuel polishing systems, and engine flushing systems. The company was formerly known as Hickok Incorporated and changed its name to Crawford United Corporation in May 2019. Crawford United Corporation was founded in 1910 and is headquartered in Cleveland, Ohio.

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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $108,552,189 $106,239,852 $100,722,146 $82,249,762
Cost Of Revenue $108,552,189 $106,239,852 $100,722,146 $82,249,762
Total Revenue $150,198,284 $143,885,934 $127,754,927 $104,162,227
Operating Revenue $150,198,284 $143,885,934 $127,754,927 $104,162,227
Expenses
Interest Expense $997,757 $1,255,984 $1,138,224 $881,741
Total Expenses $130,506,907 $125,953,463 $119,221,455 $97,171,975
Other Income Expense $-1,048,405 $487,661 $336,945 $1,254,431
Other Non Operating Income Expenses $-680,998 $480,331 $1,197,218 $-163,552
Net Non Operating Interest Income Expense $-997,757 $-1,255,984 $-1,138,224 $-881,741
Interest Expense Non Operating $997,757 $1,255,984 $1,138,224 $881,741
Operating Expense $21,954,718 $19,713,611 $18,499,309 $14,922,213
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $13,597,967 $13,294,793 $6,561,403 $5,653,298
Net Interest Income $-997,757 $-1,255,984 $-1,138,224 $-881,741
Normalized Income $13,881,238 $13,289,112 $7,291,775 $4,564,565
Net Income From Continuing And Discontinued Operation $13,597,967 $13,294,793 $6,561,403 $5,653,298
Total Operating Income As Reported $19,691,377 $17,932,471 $8,533,472 $6,990,252
Net Income Common Stockholders $13,597,967 $13,294,793 $6,561,403 $5,653,298
Net Income $13,597,967 $13,294,793 $6,561,403 $5,653,298
Net Income Including Noncontrolling Interests $13,597,967 $13,294,793 $6,561,403 $5,653,298
Net Income Continuous Operations $13,597,967 $13,294,793 $6,561,403 $5,653,298
Pretax Income $17,645,215 $17,164,148 $7,732,194 $7,362,942
Operating Income $19,691,377 $17,932,471 $8,533,472 $6,990,252
Gross Profit $41,646,095 $37,646,082 $27,032,781 $21,912,465
Special Income Charges - - $0 $1,453,837
Per Share
Diluted EPS $3.83 $3.77 $1.89 $1.66
Basic EPS $3.84 $3.79 $1.89 $1.66
Other
Tax Effect Of Unusual Items $-84,136 $1,649 $-129,901 $329,250
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $24,598,872 $24,055,386 $15,188,306 $10,965,479
Total Unusual Items $-367,407 $7,330 $-860,273 $1,417,983
Total Unusual Items Excluding Goodwill $-367,407 $7,330 $-860,273 $1,417,983
Reconciled Depreciation $5,588,493 $5,642,584 $5,457,615 $4,138,779
EBITDA (Bullshit earnings) $24,231,465 $24,062,716 $14,328,033 $12,383,462
EBIT $18,642,972 $18,420,132 $8,870,418 $8,244,683
Diluted Average Shares $3,553,008 $3,526,836 $3,462,868 $3,405,061
Basic Average Shares $3,538,461 $3,507,883 $3,462,868 $3,405,061
Diluted NI Availto Com Stockholders $13,597,967 $13,294,793 $6,561,403 $5,653,298
Tax Provision $4,047,248 $3,869,355 $1,170,791 $1,709,644
Gain On Sale Of Security $-367,407 $7,330 $-860,273 $-35,854
Selling General And Administration $21,954,718 $19,713,611 $18,499,309 $14,922,213
Other Special Charges - - - $-1,453,837
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $43,516,269 $33,019,698 $17,290,407 $10,898,719
Total Assets $108,668,696 $93,639,598 $99,598,074 $90,963,311
Total Non Current Assets $59,058,410 $47,856,540 $50,824,710 $48,437,751
Other Non Current Assets $94,798 $107,798 $362,489 $88,591
Goodwill And Other Intangible Assets $28,833,485 $24,705,649 $25,724,498 $23,741,182
Other Intangible Assets $10,285,781 $8,252,600 $9,492,560 $9,336,564
Current Assets $49,610,286 $45,783,058 $48,773,364 $42,525,560
Other Current Assets $1,575,240 $1,303,780 $1,522,516 $1,112,068
Inventory $18,278,179 $17,672,622 $20,176,142 $16,585,437
Receivables $28,213,600 $24,494,180 $25,169,108 $21,815,396
Other Receivables $5,470,698 $4,822,347 $3,284,301 $2,111,057
Taxes Receivable $1,728,754 $0 $0 $1,316,595
Accounts Receivable $21,014,148 $19,671,833 $21,884,807 $18,387,744
Allowance For Doubtful Accounts Receivable $-206,770 $-105,223 $-143,631 $-75,930
Gross Accounts Receivable $21,220,918 $19,777,056 $22,028,438 $18,463,674
Cash Cash Equivalents And Short Term Investments $1,543,267 $2,312,476 $1,905,598 $3,012,659
Cash And Cash Equivalents $1,543,267 $1,647,175 $1,247,627 $1,494,415
Prepaid Assets - - - $1,112,068
Debt
Net Debt $4,628,513 $4,743,932 $21,349,290 $23,347,727
Total Debt $13,333,761 $15,006,324 $32,362,293 $34,069,451
Long Term Debt And Capital Lease Obligation $11,307,050 $12,467,924 $29,130,875 $28,436,441
Long Term Debt $5,559,755 $5,566,881 $21,070,723 $20,450,813
Current Debt And Capital Lease Obligation $2,026,711 $2,538,400 $3,231,418 $5,633,010
Current Debt $612,025 $824,226 $1,526,194 $4,391,329
Other Current Borrowings $612,025 $824,226 $1,526,194 $4,391,329
Liabilities
Total Liabilities Net Minority Interest $36,318,942 $35,914,251 $56,583,169 $56,323,410
Total Non Current Liabilities Net Minority Interest $11,698,110 $12,778,174 $30,515,433 $32,461,811
Non Current Deferred Liabilities $391,060 $310,250 $1,384,558 $3,275,370
Non Current Deferred Taxes Liabilities $391,060 $310,250 $1,384,558 $3,275,370
Current Liabilities $24,620,832 $23,136,077 $26,067,736 $23,861,599
Current Deferred Liabilities $6,195,473 $5,596,706 $4,354,868 $2,881,535
Payables And Accrued Expenses $16,398,648 $15,000,971 $18,481,450 $14,597,054
Payables $12,856,158 $11,708,184 $15,257,262 $11,460,364
Total Tax Payable $0 $539,876 $1,239,289 $0
Income Tax Payable $0 $539,876 $1,239,289 $0
Accounts Payable $12,856,158 $11,168,308 $14,017,973 $11,460,364
Other Non Current Liabilities - - - $750,000
Other Current Liabilities - - - $750,000
Equity
Common Stock Equity $72,349,754 $57,725,347 $43,014,905 $34,639,901
Total Equity Gross Minority Interest $72,349,754 $57,725,347 $43,014,905 $34,639,901
Stockholders Equity $72,349,754 $57,725,347 $43,014,905 $34,639,901
Retained Earnings $61,473,932 $47,875,964 $34,581,171 $28,019,768
Other
Treasury Shares Number $244,994 $236,509 $229,847 $224,279
Ordinary Shares Number $3,539,396 $3,510,740 $3,475,885 $3,410,791
Share Issued $3,601,955 $3,564,814 $3,523,297 $3,452,635
Tangible Book Value $43,516,269 $33,019,698 $17,290,407 $10,898,719
Invested Capital $78,521,534 $64,116,454 $65,611,822 $59,482,043
Working Capital $24,989,454 $22,646,981 $22,705,628 $18,663,961
Capital Lease Obligations $7,161,981 $8,615,217 $9,765,376 $9,227,309
Total Capitalization $77,909,509 $63,292,228 $64,085,628 $55,090,714
Treasury Stock $2,549,627 $2,237,026 $2,125,252 $1,981,113
Additional Paid In Capital $1,741,901 $1,741,901 $1,741,901 $1,741,901
Capital Stock $11,683,548 $10,344,508 $8,817,085 $6,859,345
Common Stock $11,683,548 $10,344,508 $8,817,085 $6,859,345
Long Term Capital Lease Obligation $5,747,295 $6,901,043 $8,060,152 $7,985,628
Current Deferred Revenue $6,195,473 $5,596,706 $4,354,868 $2,881,535
Current Capital Lease Obligation $1,414,686 $1,714,174 $1,705,224 $1,241,681
Current Accrued Expenses $3,542,490 $3,292,787 $3,224,188 $3,136,690
Goodwill $18,547,704 $16,453,049 $16,231,938 $14,404,618
Net PPE $30,130,127 $23,043,093 $24,737,723 $24,607,978
Accumulated Depreciation $-16,659,301 $-14,156,750 $-11,541,494 $-9,196,022
Gross PPE $46,789,428 $37,199,843 $36,279,217 $33,804,000
Other Properties $6,950,547 $8,356,903 $9,524,280 $8,998,776
Machinery Furniture Equipment $27,995,645 $24,851,703 $23,301,660 $21,612,759
Buildings And Improvements $10,710,202 $3,760,203 $3,222,243 $2,961,431
Land And Improvements $1,133,034 $231,034 $231,034 $231,034
Properties $0 $0 $0 $0
Inventories Adjustments Allowances $-854,182 $-677,779 $-1,357,947 $-452,607
Finished Goods $10,956,978 $9,846,694 $13,483,017 $9,183,532
Work In Process $4,421,230 $4,514,263 $5,158,252 $3,949,647
Raw Materials $3,754,153 $3,989,444 $2,892,820 $3,904,865
Other Short Term Investments $0 $665,301 $657,971 $1,518,244
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $16,860,112 $16,758,418 $7,303,571 $-1,363,903
Operating Activities
Operating Cash Flow $19,064,639 $18,791,191 $8,046,399 $1,780,600
Cash Flow From Continuing Operating Activities $19,064,639 $18,791,191 $8,046,399 $1,780,600
Operating Gains Losses $369,703 $-11,318 $877,203 $-1,453,837
Investing Activities
Capital Expenditure $-2,204,527 $-2,032,773 $-742,828 $-3,144,503
Investing Cash Flow $-12,745,368 $-2,032,773 $-5,074,567 $-9,455,064
Cash Flow From Continuing Investing Activities $-12,745,368 $-2,032,773 $-5,074,567 $-9,455,064
Capital Expenditure Reported $-2,204,527 $-2,032,773 $-742,828 $-3,144,503
Financing Activities
Repurchase Of Capital Stock $-312,601 $-111,774 $-144,139 $-43,061
Financing Cash Flow $-6,423,179 $-16,358,870 $-3,218,620 $2,974,603
Cash Flow From Continuing Financing Activities $-6,423,179 $-16,358,870 $-3,218,620 $2,974,603
Net Other Financing Charges $-97,284 - $-750,000 -
Net Common Stock Issuance $-312,601 $-111,774 $-144,139 $-43,061
Other
Repayment Of Debt $-24,125,329 $-23,523,304 $-11,192,719 $-4,179,207
Issuance Of Debt $18,112,035 $7,276,208 $8,868,238 $7,188,097
Interest Paid Supplemental Data $986,662 $1,220,439 $1,060,483 $743,901
Income Tax Paid Supplemental Data $6,154,088 $5,599,745 $582,883 $2,582,700
End Cash Position $1,543,267 $1,647,175 $1,247,627 $1,494,415
Beginning Cash Position $1,647,175 $1,247,627 $1,494,415 $6,194,276
Changes In Cash $-103,908 $399,548 $-246,788 $-4,699,861
Common Stock Payments $-312,601 $-111,774 $-144,139 $-43,061
Net Issuance Payments Of Debt $-6,013,294 $-16,247,096 $-2,324,481 $3,008,890
Net Long Term Debt Issuance $-6,013,294 $-16,247,096 $-2,324,481 $3,008,890
Long Term Debt Payments $-24,125,329 $-23,523,304 $-11,192,719 $-4,179,207
Long Term Debt Issuance $18,112,035 $7,276,208 $8,868,238 $7,188,097
Net Investment Purchase And Sale $297,894 $0 $0 $-172,459
Sale Of Investment $297,894 $0 $0 $123,069
Net Business Purchase And Sale $-10,910,735 $0 $-4,331,739 $-6,138,102
Purchase Of Business $-10,910,735 $0 $-4,331,739 $-6,138,102
Net PPE Purchase And Sale $72,000 $0 - -
Sale Of PPE $72,000 $0 - -
Change In Working Capital $-1,881,363 $-437,983 $-3,184,780 $-7,877,660
Change In Other Working Capital $598,767 $1,241,838 $1,097,850 $2,061,533
Change In Other Current Liabilities $-1,229,014 $-1,177,710 $742,117 $189,652
Change In Other Current Assets $37,154 $-202,626 $-2,497,480 $-141,956
Change In Payables And Accrued Expense $-733,940 $-3,549,078 $4,537,440 $687,607
Change In Payable $-733,940 $-3,549,078 $4,537,440 $1,757,213
Change In Account Payable $1,534,690 $-2,849,665 $1,981,556 $1,757,213
Change In Tax Payable $-2,268,630 $-699,413 $2,555,884 -
Change In Income Tax Payable $-2,268,630 $-699,413 $2,555,884 -
Change In Prepaid Assets $-168,989 $218,736 $-373,139 $-1,752,084
Change In Inventory $312,300 $2,355,929 $-2,772,375 $-5,381,275
Change In Receivables $-697,641 $674,928 $-3,919,193 $-3,683,093
Changes In Account Receivables $-49,290 $2,212,974 $-2,745,949 $-5,307,593
Stock Based Compensation $1,309,029 $1,377,423 $957,728 $429,344
Deferred Tax $80,810 $-1,074,308 $-1,872,770 $702,061
Deferred Income Tax $80,810 $-1,074,308 $-1,872,770 $702,061
Depreciation Amortization Depletion $5,588,493 $5,642,584 $5,457,615 $4,138,779
Depreciation And Amortization $5,588,493 $5,642,584 $5,457,615 $4,138,779
Depreciation $5,588,493 $5,642,584 $5,457,615 $4,138,779
Gain Loss On Investment Securities $367,407 $-7,330 $860,273 -
Net Income From Continuing Operations $13,597,967 $13,294,793 $6,561,403 $5,653,298
Asset Impairment Charge - $1,720,844 $1,706,810 $1,152,180
Proceeds From Stock Option Exercised - - $0 $8,774
Purchase Of Investment - - $0 $-295,528
Change In Accrued Expense - - $527,621 $-1,069,606
Other Non Cash Items - - $-750,000 $-481,046
Unrealized Gain Loss On Investment Securities - - $860,273 $188,615
Fetched: 2026-02-02