NYSE
CRD-A

Crawford & Company

Insurance Brokers
Financial Services

Prices are adjusted according to historical splits.

Crawford & Company Stock Price

Vitals

Today's Low:
$10.005
Today's High:
$10.23
Open Price:
$10.005
52W Low:
$5.0467
52W High:
$10.3
Prev. Close:
$10.02
Volume:
32873

Company Statistics

Market Cap.:
$468.06 million
Book Value:
2.936
Revenue TTM:
$1.22 billion
Operating Margin TTM:
5.38%
Gross Profit TTM:
$306.35 million
Profit Margin:
-1.04%
Return on Assets TTM:
4.95%
Return on Equity TTM:
-7.68%

Company Profile

Crawford & Company had its IPO on 1992-03-19 under the ticker symbol CRD-A.

The company operates in the Financial Services sector and Insurance Brokers industry. Crawford & Company has a staff strength of 9,820 employees.

Stock update

Shares of Crawford & Company opened at $10.01 at the start of the last trading session i.e. 2023-09-12.

The stocks traded within a range of $10.01 - $10.23, and closed at $10.17.

This is a +1.5% increase from the previous day's closing price.

A total volume of 32,873 shares were traded at the close of the day’s session.

In the last one week, shares of Crawford & Company have slipped by -5.48%.

Crawford & Company's Key Ratios

Crawford & Company has a market cap of $468.06 million, indicating a price to book ratio of 1.6642 and a price to sales ratio of 0.2266.

In the last 12-months Crawford & Company’s revenue was $1.22 billion with a gross profit of $306.35 million and an EBITDA of $85.53 million. The EBITDA ratio measures Crawford & Company's overall financial performance and is widely used to measure its profitability.

In the trailing 12-month period, Crawford & Company’s operating margin was 5.38% while its return on assets stood at 4.95% with a return of equity of -7.68%.

In Q1, Crawford & Company’s quarterly earnings growth was a positive 122.3% while revenue growth was a positive 12.2%.

Crawford & Company’s PE and PEG Ratio

Forward PE
7.2727
Trailing PE
0
PEG
0.9136

Its diluted EPS in the last 12-months stands at $-0.25 per share while it has a forward price to earnings multiple of 7.2727 and a PEG multiple of 0.9136. A low price to earnings ratio can mean the stock is attractively valued while a high ratio suggests the stock may be overvalued.

The PEG on the other hand provides a broader view compared to the P/E ratio and gives greater insight into Crawford & Company’s profitability.

Crawford & Company stock is trading at a EV to sales ratio of 0.4974 and a EV to EBITDA ratio of 15.9732. Its price to sales ratio in the trailing 12-months stood at 0.2266.

Crawford & Company stock pays annual dividends of $0.24 per share, indicating a yield of 2.43% and a payout ratio of 28.92%.

Balance sheet and cash flow metrics

Total Assets
$816.03 million
Total Liabilities
$286.29 million
Operating Cash Flow
$-8641000.00
Capital Expenditure
$8.64 million
Dividend Payout Ratio
28.92%

Crawford & Company ended 2024 with $816.03 million in total assets and $0 in total liabilities. Its intangible assets were valued at $816.03 million while shareholder equity stood at $143.21 million.

Crawford & Company ended 2024 with $0 in deferred long-term liabilities, $286.29 million in other current liabilities, 48773000.00 in common stock, $220.85 million in retained earnings and $76.63 million in goodwill. Its cash balance stood at $43.30 million and cash and short-term investments were $43.30 million. The company’s total short-term debt was $63,420,000 while long-term debt stood at $210.34 million.

Crawford & Company’s total current assets stands at $368.50 million while long-term investments were $0 and short-term investments were $0. Its net receivables were $291.86 million compared to accounts payable of $46.78 million and inventory worth $0.

In 2024, Crawford & Company's operating cash flow was $-8641000.00 while its capital expenditure stood at $8.64 million.

Comparatively, Crawford & Company paid $0.29 in dividends in 2024.

Other key metrics

Current Trading Price
$10.17
52-Week High
$10.3
52-Week Low
$5.0467
Analyst Target Price
$12

Crawford & Company stock is currently trading at $10.17 per share. It touched a 52-week high of $10.3 and a 52-week low of $10.3. Analysts tracking the stock have a 12-month average target price of $12.

Its 50-day moving average was $9.97 and 200-day moving average was $8.17 The short ratio stood at 1.82 indicating a short percent outstanding of 0%.

Around 4889.6% of the company’s stock are held by insiders while 3504.2% are held by institutions.

Frequently Asked Questions About Crawford & Company

The stock symbol (also called stock or share ticker) of Crawford & Company is CRD-A

The IPO of Crawford & Company took place on 1992-03-19

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About

Crawford & Company provides claims management and outsourcing solutions for carriers, brokers, and corporations in the United States, the United Kingdom, Europe, Canada, Australia, Asia, and Latin America. The company operates through four segments: North America Loss Adjusting, International Operations, Broadspire, and Platform Solutions. The North America Loss Adjusting segment provides claims management services to insurance companies and self-insured entities risk including property, public liability, automobile, and marine insurances. The International Operations segment provides claims management and adjusting services to insurance carriers and self-insured entities; and field investigation and the evaluation and resolution of property and casualty insurance claims. The Broadspire segment offers claims management services, including workers’ compensation, liability, property, accident & health, and disability claims management; accident & health claims programs; disability and leave management services, as well as legal services, risk management information, and consultative analytical services. This segment also provides medical management services; administration services; medical bill review services; and physician review services, as well as claims and risk management services and technology solutions; desktop claim adjusting and evaluation of claims; initial loss reporting services for claimants; loss mitigation services, such as medical bill review, medical case management and vocational rehabilitation; and risk management information services. The Platform Solutions segment offers insurance through service lines, such as Contractor Connection and Networks, including losses caused by natural disasters, such as fires, hailstorms, hurricanes, earthquakes, floods, as well as man-made disasters, such as oil spills, and chemical releases. The company was founded in 1941 and is headquartered in Atlanta, Georgia.

Address

5335 Triangle Parkway, Atlanta, GA, United States, 30092