Crawford & Company

9.96+0.0400+0.40%Vol 62.60K1Y Perf 81.35%
Sep 22nd, 2023 16:00 DELAYED
BID9.58 ASK10.67
Open9.97 Previous Close9.92
Pre-Market- After-Market9.96
 - -  - -%
Target Price
10.00 
Analyst Rating
Strong Buy 1.00
Potential %
0.40 
Finscreener Ranking
★★+     48.26
Insiders Trans % 3/6/12 mo.
-/-/83 
Value Ranking
★★★     50.76
Insiders Value % 3/6/12 mo.
-41/-41/57 
Growth Ranking
     34.78
Insiders Shares Cnt. % 3/6/12 mo.
-35/-35/58 
Income Ranking
★★★★     51.79
Price Range Ratio 52W %
79.70 
Earnings Rating
Strong Sell
Market Cap487.91M 
Earnings Date
14th Nov 2023
Alpha0.01 Standard Deviation0.13
Beta0.72 

Today's Price Range

9.8810.34

52W Range

5.1311.19

5 Year PE Ratio Range

10.3044.50

Summary:

Sell

Technical Indicators: Sell
Moving Averages: Sell
Performance
1 Week
-0.20%
1 Month
3.64%
3 Months
-4.23%
6 Months
32.45%
1 Year
81.35%
3 Years
46.78%
5 Years
10.30%
10 Years
44.91%

TickerPriceChg.Chg.%
CRD.A9.960.04000.40
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WFC41.23-1.0900-2.58
JNJ160.50-1.1600-0.72
FB196.640.99000.51
GE111.25-1.7400-1.54
JPM145.73-1.4100-0.96
Financial StrengthValueIndustryS&P 500US Markets
1.20
1.30
0.65
2.25
0.10
Leverage Ratio 4.70
ProfitabilityValueIndustryS&P 500US Markets
21.90
0.10
3.10
3.00
-0.47
RevenueValueIndustryS&P 500US Markets
897.86M
31.44
1.86
-1.18
DividendsValueIndustryS&P 500US Markets
4.41
0.24
-6.34
-5.01
Payout ratio20.00
Earnings HistoryEstimateReportedSurprise %
Q02 20230.260.24-7.69
Q01 20230.160.2875.00
Q04 20220.170.2335.29
Q03 20220.190.16-15.79
Q02 20220.190.15-21.05
Q01 2022-0.15-
Q04 2021-0.07-
Q03 2021-0.24-
Earnings Per EndEstimateRevision %Trend
9/2023 QR0.26-13.33Negative
12/2023 QR0.28-6.67Negative
12/2023 FY1.07-5.31Negative
12/2024 FY1.26-4.55Negative
Next Report Date14th Nov 2023
Estimated EPS Next Report0.26
Estimates Count1
EPS Growth Next 5 Years %-
Volume Overview
Volume62.60K
Shares Outstanding48.99K
Shares Float12.88M
Trades Count893
Dollar Volume633.33K
Avg. Volume75.25K
Avg. Weekly Volume87.00K
Avg. Monthly Volume68.39K
Avg. Quarterly Volume70.35K

Crawford & Company (NYSE: CRD.A) stock closed at 9.96 per share at the end of the most recent trading day (a 0.4% change compared to the prior day closing price) with a volume of 62.60K shares and market capitalization of 487.91M. Is a component of indices and it is traded on NYSE exchange. The company belongs in the Insurance industry, Financial Services sector and employs 9000 people. Crawford & Company CEO is Rohit Verma.

The one-year performance of Crawford & Company stock is 81.35%, while year-to-date (YTD) performance is 79.14%. CRD.A stock has a five-year performance of 10.3%. Its 52-week range is between 5.13 and 11.1905, which gives CRD.A stock a 52-week price range ratio of 79.70%

Crawford & Company currently has a PE ratio of -109.40, a price-to-book (PB) ratio of 1.63, a price-to-sale (PS) ratio of 0.17, a price to cashflow ratio of 15.20, a PEG ratio of 0.89, a ROA of -0.34%, a ROC of 0.48% and a ROE of -1.47%. The company’s profit margin is -0.47%, its EBITDA margin is 3.10%, and its revenue ttm is $897.86 Million , which makes it $31.44 revenue per share.

Of the last four earnings reports from Crawford & Company, there were 2 positive earnings surprise and 2 negative earnings surprise. The company has EPS estimate of $0.26 for the next earnings report. Crawford & Company’s next earnings report date is 14th Nov 2023.

The consensus rating of Wall Street analysts for Crawford & Company is Strong Buy (1), with a target price of $10, which is +0.40% compared to the current price. The earnings rating for Crawford & Company stock is Strong Sell (calculated from actual period earnings estimates revision (80% weight) and previous period earnings surprise (20% weight)).

Crawford & Company has a dividend yield of 4.41% with a dividend per share of $0.24 and a payout ratio of 20.00%.

Crawford & Company has a Sell technical analysis rating based on Technical Indicators (ADX : 30.06, ATR14 : 0.31, CCI20 : -68.03, Chaikin Money Flow : -0.22, MACD : -0.01, Money Flow Index : 29.90, ROC : -4.78, RSI : 46.25, STOCH (14,3) : 23.47, STOCH RSI : 0.11, UO : 42.79, Williams %R : -76.53), Simple Moving Averages and Exponential Moving Averages.

Aggregated Insider Trades of Crawford & Company in the last 12-months were: Jesse C. Crawford (Buy at a value of $266 042), Larry Climeteen Thomas (Option Excercise at a value of $73 660), Rohit Verma (Buy at a value of $4 672), Thomas Larry (Option Excercise at a value of $73 660)

Analyst RatingsCurrent1 M ago3 M ago
Strong Buy
1 (100.00 %)
1 (100.00 %)
1 (100.00 %)
Moderate Buy
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Hold
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Moderate Sell
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Strong Sell
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Summary RatingStrong Buy
1.00
Strong Buy
1.00
Strong Buy
1.00

Crawford & Company

Crawford & Co is in the business of providing claims and outsourcing solutions to the risk management, insurance industry, and self-insured entities. It has three operating segments. Crawford Claims Solutions serves the global property and casualty insurance company markets. Crawford TPA Solutions provides third-party administration for workers compensation, auto and liability, disability absence management, medical management, and accident and health to corporations, brokers, and insurers. Crawford Specialty Solutions serves the global property and casualty insurance company markets. Geographically it serves the United States, United Kingdom, Canada, Australia, Europe among others.

CEO: Rohit Verma

Telephone: +1 404 300-1000

Address: 5335 Triangle Parkway, Peachtree Corners 30092, GA, US

Number of employees: 9 000

Bearish or Bullish?
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Bearish Bullish

50%50%

Bearish Bullish

54%46%

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58%42%

Bearish Bullish

54%46%

 

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