USD
+$0.00
(+0.00%
)At Close (As of Sep 8, 2025)
$24.36B
Market Cap
195.58
P/E Ratio
0.72
EPS
$142.57
52 Week High
$24.46
52 Week Low
TECHNOLOGY
Sector
Field | Value (USD) |
---|---|
Gross Profit | $283M |
Total Revenue | $437M |
Cost Of Revenue | $154M |
Costof Goods And Services Sold | $154M |
Operating Income | $37M |
Selling General And Administrative | $99M |
Research And Development | $146M |
Operating Expenses | $246M |
Investment Income Net | - |
Net Interest Income | - |
Interest Income | - |
Interest Expense | - |
Non Interest Income | - |
Other Non Operating Income | - |
Depreciation | - |
Depreciation And Amortization | $22M |
Income Before Tax | $55M |
Income Tax Expense | $2.7M |
Interest And Debt Expense | - |
Net Income From Continuing Operations | $52M |
Comprehensive Income Net Of Tax | - |
Ebit | $38M |
Ebitda | $60M |
Net Income | $52M |
Field | Value (USD) |
---|---|
Total Assets | $809M |
Total Current Assets | $714M |
Cash And Cash Equivalents At Carrying Value | $236M |
Cash And Short Term Investments | $236M |
Inventory | $90M |
Current Net Receivables | $162M |
Total Non Current Assets | $96M |
Property Plant Equipment | - |
Accumulated Depreciation Amortization Ppe | - |
Intangible Assets | - |
Intangible Assets Excluding Goodwill | - |
Goodwill | - |
Investments | - |
Long Term Investments | - |
Short Term Investments | $195M |
Other Current Assets | $30M |
Other Non Current Assets | - |
Total Liabilities | $128M |
Total Current Liabilities | $108M |
Current Accounts Payable | $56M |
Deferred Revenue | - |
Current Debt | - |
Short Term Debt | $3.3M |
Total Non Current Liabilities | $20M |
Capital Lease Obligations | $16M |
Long Term Debt | - |
Current Long Term Debt | - |
Long Term Debt Noncurrent | - |
Short Long Term Debt Total | $16M |
Other Current Liabilities | $48M |
Other Non Current Liabilities | $1.5M |
Total Shareholder Equity | $682M |
Treasury Stock | - |
Retained Earnings | -$83M |
Common Stock | $8K |
Common Stock Shares Outstanding | $181M |
Field | Value (USD) |
---|---|
Operating Cashflow | $65M |
Payments For Operating Activities | - |
Proceeds From Operating Activities | - |
Change In Operating Liabilities | - |
Change In Operating Assets | - |
Depreciation Depletion And Amortization | $22M |
Capital Expenditures | $36M |
Change In Receivables | - |
Change In Inventory | -$70M |
Profit Loss | - |
Cashflow From Investment | $112M |
Cashflow From Financing | -$7.7M |
Proceeds From Repayments Of Short Term Debt | - |
Payments For Repurchase Of Common Stock | - |
Payments For Repurchase Of Equity | - |
Payments For Repurchase Of Preferred Stock | - |
Dividend Payout | - |
Dividend Payout Common Stock | - |
Dividend Payout Preferred Stock | - |
Proceeds From Issuance Of Common Stock | - |
Proceeds From Issuance Of Long Term Debt And Capital Securities Net | - |
Proceeds From Issuance Of Preferred Stock | - |
Proceeds From Repurchase Of Equity | - |
Proceeds From Sale Of Treasury Stock | - |
Change In Cash And Cash Equivalents | - |
Change In Exchange Rate | - |
Net Income | $52M |
Field | Value (USD) |
---|---|
Gross Profit | $283M |
Total Revenue | $437M |
Cost Of Revenue | $154M |
Costof Goods And Services Sold | $154M |
Operating Income | $37M |
Selling General And Administrative | $99M |
Research And Development | $146M |
Operating Expenses | $246M |
Investment Income Net | - |
Net Interest Income | - |
Interest Income | - |
Interest Expense | - |
Non Interest Income | - |
Other Non Operating Income | - |
Depreciation | - |
Depreciation And Amortization | $22M |
Income Before Tax | $55M |
Income Tax Expense | $2.7M |
Interest And Debt Expense | - |
Net Income From Continuing Operations | $52M |
Comprehensive Income Net Of Tax | - |
Ebit | $38M |
Ebitda | $60M |
Net Income | $52M |
Sector: TECHNOLOGY
Industry: SEMICONDUCTORS
Credo Technology Group Holding Ltd offers various high-speed connectivity solutions for electrical and optical Ethernet applications in the United States, Mexico, Malaysia, Hong Kong and internationally. The company is headquartered in San Jose, California.