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CRDO Credo Technology

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  • 40.510
  • -1.920-4.53%
Close Mar 28 16:00 ET
  • 40.220
  • -0.290-0.72%
Post 16:35 ET
6.88BMarket Cap1350.33P/E (TTM)

Credo Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Feb 1, 2025
(Q2)Nov 2, 2024
(Q1)Aug 3, 2024
(FY)Apr 27, 2024
(Q4)Apr 27, 2024
(Q3)Jan 27, 2024
(Q2)Oct 28, 2023
(Q1)Jul 29, 2023
(FY)Apr 29, 2023
(Q4)Apr 29, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
506.56%4.21M
105.37%10.29M
-129.41%-7.24M
233.00%32.74M
135.11%4.16M
55.23%-1.04M
185.03%5.01M
301.39%24.61M
20.16%-24.62M
-601.65%-11.84M
Net income from continuing operations
6,759.81%29.36M
36.21%-4.23M
18.44%-9.54M
-71.44%-28.37M
34.26%-10.48M
-84.84%428K
-97.11%-6.62M
-15,923.29%-11.7M
25.38%-16.55M
-197.61%-15.94M
Operating gains losses
612.29%7.36M
637.29%2.61M
638.07%3.22M
221.72%3.93M
546.77%2.1M
297.31%1.03M
43.32%354K
12.37%436K
90.63%1.22M
39.48%325K
Depreciation and amortization
47.31%5.06M
34.80%4.99M
43.49%4.23M
44.74%13.77M
23.65%3.69M
51.21%3.44M
40.93%3.7M
80.32%2.95M
98.50%9.51M
94.71%2.98M
Change In working capital
-293.07%-55.91M
-1,019.84%-12.25M
-186.75%-21.49M
98.55%-731K
-4.73%-10.18M
17.46%-14.22M
61.42%-1.09M
220.09%24.77M
-70.29%-50.42M
-116.47%-9.72M
-Change in receivables
-285.19%-68.97M
37.21%-5.49M
-165.45%-15.04M
-20.81%-22.24M
-519.70%-18.56M
-324.87%-17.9M
-437.84%-8.75M
208.33%22.97M
10.43%-18.41M
160.86%4.42M
-Change in inventory
-543.70%-19.07M
-261.20%-7.26M
-206.00%-5.35M
164.65%15.76M
13.46%1.91M
196.11%4.3M
140.98%4.5M
147.61%5.05M
-12.46%-24.38M
220.17%1.69M
-Change in prepaid assets
245.03%1.24M
-30.29%-1.31M
-224.80%-2.79M
-1,607.62%-7.72M
-342.30%-5M
18.34%-855K
-187.64%-1.01M
-155.78%-859K
-81.77%512K
-133.30%-1.13M
-Change in payables and accrued expense
887.78%31.12M
-54.83%2.13M
120.64%2.13M
532.85%14.51M
143.07%5.69M
162.41%3.15M
-27.22%4.71M
-88.57%964K
-123.36%-3.35M
-353.26%-13.21M
-Change in other current assets
114.76%412K
127.08%569K
125.83%647K
91.80%-654K
383.48%6.74M
39.30%-2.79M
-379.68%-2.1M
-347.32%-2.51M
-382.29%-7.98M
-566.47%-2.38M
-Change in other working capital
-440.34%-643K
-156.69%-881K
-27.76%-1.09M
-112.27%-391K
-210.53%-976K
-105.54%-119K
196.22%1.55M
-148.02%-850K
210.55%3.19M
117.87%883K
Cash from discontinued investing activities
Operating cash flow
506.56%4.21M
105.37%10.29M
-129.41%-7.24M
233.00%32.74M
135.11%4.16M
55.23%-1.04M
185.03%5.01M
301.39%24.61M
20.16%-24.62M
-601.65%-11.84M
Investing cash flow
Cash flow from continuing investing activities
128.61%59.12M
4,338.16%129.05M
742.69%42.48M
-90.53%-249.49M
-751.59%-33.2M
-212.52%-206.64M
94.53%-3.05M
-25.71%-6.61M
-644.83%-130.94M
59.60%-3.9M
Net PPE purchase and sale
9.90%-4.6M
-973.25%-21.95M
-10.37%-5.86M
27.91%-15.65M
18.03%-3.2M
25.98%-5.1M
63.91%-2.05M
-1.03%-5.31M
-23.51%-21.71M
59.60%-3.9M
Net investment purchase and sale
131.62%63.72M
15,200.00%151M
3,824.58%48.35M
-114.08%-233.83M
---30M
-240.27%-201.54M
98.00%-1M
---1.3M
---109.23M
--0
Cash from discontinued investing activities
Investing cash flow
128.61%59.12M
4,338.16%129.05M
742.69%42.48M
-90.53%-249.49M
-751.59%-33.2M
-212.52%-206.64M
94.53%-3.05M
-25.71%-6.61M
-644.83%-130.94M
59.60%-3.9M
Financing cash flow
Cash flow from continuing financing activities
-101.91%-3.33M
-3,196.92%-4.03M
200.37%1.6M
3,488.05%175.28M
-98.83%7K
11,064.00%174.61M
-82.57%130K
-72.99%534K
-97.61%4.89M
-97.71%598K
Net common stock issuance
----
----
----
--173.43M
---205K
----
----
----
--0
--0
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Proceeds from stock option exercised by employees
23.43%2.41M
36.52%871K
2.12%3.51M
28.25%7.06M
12.80%1.02M
4.43%1.96M
-14.48%638K
74.00%3.44M
101.43%5.5M
13.96%906K
Net other financing activities
-482.86%-5.75M
-863.98%-4.9M
34.31%-1.91M
-745.78%-5.21M
-162.99%-810K
---986K
---508K
---2.91M
---616K
---308K
Cash from discontinued financing activities
Financing cash flow
-101.91%-3.33M
-3,196.92%-4.03M
200.37%1.6M
3,488.05%175.28M
-98.83%7K
11,064.00%174.61M
-82.57%130K
-72.99%534K
-97.61%4.89M
-97.71%598K
Net cash flow
Beginning cash position
85.48%239.24M
-18.22%103.9M
-38.35%66.94M
-58.13%108.58M
-22.39%96.07M
-32.31%128.99M
-47.89%127.05M
-58.13%108.58M
149.93%259.32M
-48.54%123.78M
Current changes in cash
281.45%60M
6,364.93%135.31M
98.85%36.85M
72.48%-41.47M
-91.76%-29.03M
50.55%-33.07M
103.94%2.09M
219.56%18.53M
-196.73%-150.67M
-180.19%-15.14M
Effect of exchange rate changes
-118.30%-28K
117.11%26K
254.29%108K
-148.53%-169K
-63.93%-100K
40.37%153K
-97.40%-152K
-79.49%-70K
66.67%-68K
29.07%-61K
End cash Position
211.44%299.21M
85.48%239.24M
-18.22%103.9M
-38.35%66.94M
-38.35%66.94M
-22.39%96.07M
-32.31%128.99M
-47.89%127.05M
-58.13%108.58M
-58.13%108.58M
Free cash flow
93.76%-383K
-493.62%-11.66M
-167.88%-13.1M
136.88%17.09M
106.11%962K
33.33%-6.14M
175.78%2.96M
210.41%19.3M
4.30%-46.33M
-115.93%-15.74M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Feb 1, 2025(Q2)Nov 2, 2024(Q1)Aug 3, 2024(FY)Apr 27, 2024(Q4)Apr 27, 2024(Q3)Jan 27, 2024(Q2)Oct 28, 2023(Q1)Jul 29, 2023(FY)Apr 29, 2023(Q4)Apr 29, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 506.56%4.21M105.37%10.29M-129.41%-7.24M233.00%32.74M135.11%4.16M55.23%-1.04M185.03%5.01M301.39%24.61M20.16%-24.62M-601.65%-11.84M
Net income from continuing operations 6,759.81%29.36M36.21%-4.23M18.44%-9.54M-71.44%-28.37M34.26%-10.48M-84.84%428K-97.11%-6.62M-15,923.29%-11.7M25.38%-16.55M-197.61%-15.94M
Operating gains losses 612.29%7.36M637.29%2.61M638.07%3.22M221.72%3.93M546.77%2.1M297.31%1.03M43.32%354K12.37%436K90.63%1.22M39.48%325K
Depreciation and amortization 47.31%5.06M34.80%4.99M43.49%4.23M44.74%13.77M23.65%3.69M51.21%3.44M40.93%3.7M80.32%2.95M98.50%9.51M94.71%2.98M
Change In working capital -293.07%-55.91M-1,019.84%-12.25M-186.75%-21.49M98.55%-731K-4.73%-10.18M17.46%-14.22M61.42%-1.09M220.09%24.77M-70.29%-50.42M-116.47%-9.72M
-Change in receivables -285.19%-68.97M37.21%-5.49M-165.45%-15.04M-20.81%-22.24M-519.70%-18.56M-324.87%-17.9M-437.84%-8.75M208.33%22.97M10.43%-18.41M160.86%4.42M
-Change in inventory -543.70%-19.07M-261.20%-7.26M-206.00%-5.35M164.65%15.76M13.46%1.91M196.11%4.3M140.98%4.5M147.61%5.05M-12.46%-24.38M220.17%1.69M
-Change in prepaid assets 245.03%1.24M-30.29%-1.31M-224.80%-2.79M-1,607.62%-7.72M-342.30%-5M18.34%-855K-187.64%-1.01M-155.78%-859K-81.77%512K-133.30%-1.13M
-Change in payables and accrued expense 887.78%31.12M-54.83%2.13M120.64%2.13M532.85%14.51M143.07%5.69M162.41%3.15M-27.22%4.71M-88.57%964K-123.36%-3.35M-353.26%-13.21M
-Change in other current assets 114.76%412K127.08%569K125.83%647K91.80%-654K383.48%6.74M39.30%-2.79M-379.68%-2.1M-347.32%-2.51M-382.29%-7.98M-566.47%-2.38M
-Change in other working capital -440.34%-643K-156.69%-881K-27.76%-1.09M-112.27%-391K-210.53%-976K-105.54%-119K196.22%1.55M-148.02%-850K210.55%3.19M117.87%883K
Cash from discontinued investing activities
Operating cash flow 506.56%4.21M105.37%10.29M-129.41%-7.24M233.00%32.74M135.11%4.16M55.23%-1.04M185.03%5.01M301.39%24.61M20.16%-24.62M-601.65%-11.84M
Investing cash flow
Cash flow from continuing investing activities 128.61%59.12M4,338.16%129.05M742.69%42.48M-90.53%-249.49M-751.59%-33.2M-212.52%-206.64M94.53%-3.05M-25.71%-6.61M-644.83%-130.94M59.60%-3.9M
Net PPE purchase and sale 9.90%-4.6M-973.25%-21.95M-10.37%-5.86M27.91%-15.65M18.03%-3.2M25.98%-5.1M63.91%-2.05M-1.03%-5.31M-23.51%-21.71M59.60%-3.9M
Net investment purchase and sale 131.62%63.72M15,200.00%151M3,824.58%48.35M-114.08%-233.83M---30M-240.27%-201.54M98.00%-1M---1.3M---109.23M--0
Cash from discontinued investing activities
Investing cash flow 128.61%59.12M4,338.16%129.05M742.69%42.48M-90.53%-249.49M-751.59%-33.2M-212.52%-206.64M94.53%-3.05M-25.71%-6.61M-644.83%-130.94M59.60%-3.9M
Financing cash flow
Cash flow from continuing financing activities -101.91%-3.33M-3,196.92%-4.03M200.37%1.6M3,488.05%175.28M-98.83%7K11,064.00%174.61M-82.57%130K-72.99%534K-97.61%4.89M-97.71%598K
Net common stock issuance --------------173.43M---205K--------------0--0
Net preferred stock issuance --------------0------------------0----
Proceeds from stock option exercised by employees 23.43%2.41M36.52%871K2.12%3.51M28.25%7.06M12.80%1.02M4.43%1.96M-14.48%638K74.00%3.44M101.43%5.5M13.96%906K
Net other financing activities -482.86%-5.75M-863.98%-4.9M34.31%-1.91M-745.78%-5.21M-162.99%-810K---986K---508K---2.91M---616K---308K
Cash from discontinued financing activities
Financing cash flow -101.91%-3.33M-3,196.92%-4.03M200.37%1.6M3,488.05%175.28M-98.83%7K11,064.00%174.61M-82.57%130K-72.99%534K-97.61%4.89M-97.71%598K
Net cash flow
Beginning cash position 85.48%239.24M-18.22%103.9M-38.35%66.94M-58.13%108.58M-22.39%96.07M-32.31%128.99M-47.89%127.05M-58.13%108.58M149.93%259.32M-48.54%123.78M
Current changes in cash 281.45%60M6,364.93%135.31M98.85%36.85M72.48%-41.47M-91.76%-29.03M50.55%-33.07M103.94%2.09M219.56%18.53M-196.73%-150.67M-180.19%-15.14M
Effect of exchange rate changes -118.30%-28K117.11%26K254.29%108K-148.53%-169K-63.93%-100K40.37%153K-97.40%-152K-79.49%-70K66.67%-68K29.07%-61K
End cash Position 211.44%299.21M85.48%239.24M-18.22%103.9M-38.35%66.94M-38.35%66.94M-22.39%96.07M-32.31%128.99M-47.89%127.05M-58.13%108.58M-58.13%108.58M
Free cash flow 93.76%-383K-493.62%-11.66M-167.88%-13.1M136.88%17.09M106.11%962K33.33%-6.14M175.78%2.96M210.41%19.3M4.30%-46.33M-115.93%-15.74M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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