Crane Co

Annual Trend FY 2022 FY 2023 FY 2024 FY 2025
Cash and cash equivalents $427.0m $329.6m $306.7m $506.5m
Accounts receivable, net $269.7m $306.4m $339.1m $358.7m
Inventories, net $294.2m $353.1m $380.4m $376.5m
Other current assets $135.1m $101.7m $159.1m $106.4m
Total current assets $1.8b $1.1b $1.4b $2.6b
Property, plant and equipment, net $248.3m $270.5m $261.3m $278.8m
Intangible assets, net $71.7m $87.9m $159.9m $149.5m
Goodwill $690.9m $747.7m $661.6m $683.9m
Other assets $120.8m $134.0m $144.7m $166.3m
Restricted cash $0 $1.2b
Current assets held for sale $625.9m $0 $217.9m $0
Long-term deferred tax assets $3.1m $2.7m $11.2m $3.5m
U.S. and foreign taxes on income $34.2m $14.3m $7.9m $6.3m
Current liabilities held for sale $614.7m $0 $44.1m $0
Other liabilities $85.2m $105.6m $106.1m $87.7m
Common shares, par value $1.00; 66,475,307 shares authorized; 57,607,816 and 57,290,198 shares issued and outstanding in 2025 and 2024, respectively 72.4m 56.9m 57.3m 57.6m
Capital surplus $373.8m $398.2m $425.5m $452.0m
Total shareholders’ equity $1.9b $1.4b $1.6b $2.1b
Total equity $1.9b $1.4b $1.6b $2.1b
Total assets $4.4b $2.3b $2.6b $3.9b
Accounts payable $179.2m $179.1m $188.2m $189.6m
Accrued liabilities $260.5m $273.7m $303.2m $269.3m
Accrued pension, postretirement benefits and post-employment benefits $132.0m $115.0m $69.6m $43.0m
Total current liabilities $1.5b $467.1m $543.4m $465.2m
Long-term debt $0 $248.5m $247.0m $1.1b
Long-term deferred tax liability $55.3m $37.1m $34.8m $45.9m
Retained earnings $2.8b $960.7m $1.2b $1.5b
Accumulated other comprehensive income (loss) ($503.3m) ($58.0m) ($61.9m) $20.0m
Noncontrolling interest $2.6m $2.5m $2.3m $2.3m
Total liabilities and equity $4.4b $2.3b $2.6b $3.9b

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.