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COM:CREDOSEMI

Credo Semiconductor, Inc.

  • Stock

USD

Last Close

46.28

22/11 21:00

Market Cap

5.16B

Beta: -

Volume Today

2.13M

Avg: -

Preview

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Jul '20
Oct '20
Jan '21
Apr '21
Jul '21
Oct '21
Jan '22
Apr '22
Jul '22
Oct '22
Jan '23
Apr '23
Jul '23
Oct '23
Jan '24
Apr '24
net income
-4.84M
-
-14.47M
198.93%
-5.12M
64.63%
-3.09M
39.69%
-12.58M
307.55%
-4.10M
67.40%
-144K
96.49%
-5.36M
3,618.75%
-73K
98.64%
-3.36M
4,502.74%
2.82M
184.02%
-15.94M
664.54%
-11.70M
26.60%
-6.62M
43.38%
428K
106.46%
-10.48M
2,547.90%
depreciation and amortization
466K
-
518K
11.16%
562K
8.49%
672K
19.57%
867K
29.02%
1.13M
30.68%
1.26M
11.39%
1.53M
21.32%
1.64M
6.86%
2.62M
60.39%
2.27M
13.38%
2.98M
31.15%
2.95M
1.04%
3.70M
25.36%
3.40M
8.06%
3.69M
8.41%
deferred income tax
-24.24M
-
-29.02M
-
stock based compensation
391K
-
11.75M
2,905.37%
847K
92.79%
918K
8.38%
1.07M
17.10%
1.31M
21.58%
1.44M
10.02%
5.37M
273.30%
5.55M
3.32%
4.89M
11.81%
5.17M
5.68%
7.91M
53.03%
7.97M
0.73%
8.14M
2.21%
8.33M
2.31%
14.58M
74.96%
change in working capital
-1.52M
-
-4.27M
181.03%
-2.59M
39.33%
-8.99M
247.30%
1.32M
114.72%
-23.95M
1,910.05%
-2.49M
89.59%
-4.49M
80.26%
-20.63M
359.19%
-2.84M
86.25%
-17.23M
507.58%
-9.72M
43.57%
24.77M
354.73%
-1.09M
104.42%
-14.22M
1,200.09%
-10.18M
28.40%
accounts receivables
7.72M
-
-1.56M
120.24%
-987K
36.81%
-4.49M
354.41%
8.25M
283.88%
-23.58M
385.95%
7.29M
130.90%
-7.83M
207.47%
-25.25M
222.41%
3.00M
111.89%
8.60M
186.57%
-6.37M
174.10%
21.57M
438.52%
-4.76M
122.05%
-17.90M
276.45%
-14.90M
16.77%
inventory
-512K
-
-2.37M
363.28%
-1.46M
38.28%
-481K
67.14%
-6.61M
1,273.60%
-7.58M
14.67%
-6.09M
19.60%
-1.40M
76.97%
-10.61M
655.88%
-10.99M
3.62%
-4.47M
59.31%
1.69M
137.71%
5.05M
199.47%
4.50M
10.81%
4.30M
4.57%
1.91M
55.48%
accounts payables
-1.81M
-
425K
123.53%
2.04M
379.06%
1.10M
46.02%
110K
89.99%
1.50M
1,266.36%
9.71M
546.31%
359K
96.30%
1.63M
354.04%
-15.55M
1,053.74%
2.48M
115.97%
3.08M
23.96%
-280K
109.10%
3.52M
1,358.93%
other working capital
-8.72M
-
-332K
96.19%
1.67M
602.71%
-4.45M
366.45%
-2.35M
47.09%
6.11M
359.75%
-3.80M
162.12%
3.24M
185.28%
5.51M
70.14%
4.79M
13.00%
-22.99M
579.66%
10.51M
145.71%
-4.34M
141.26%
-3.92M
9.62%
-336K
91.43%
-976K
190.48%
other non cash items
678K
-
-14.29M
2,208.11%
1.03M
107.19%
-1.03M
200%
363K
135.31%
-363K
200%
1.66M
558.13%
5.31M
219.18%
1.30M
75.53%
438K
66.28%
4.65M
962.10%
2.93M
36.99%
24.86M
748.00%
883K
96.45%
30.05M
3,302.72%
41.62M
38.52%
net cash provided by operating activities
-4.82M
-
-20.76M
330.40%
-5.27M
74.62%
-11.51M
118.53%
-8.95M
22.26%
-25.97M
190.20%
1.73M
106.65%
2.36M
36.65%
-12.22M
617.75%
1.76M
114.38%
-2.31M
231.70%
-11.84M
411.62%
24.61M
307.86%
5.01M
79.65%
-1.04M
120.69%
4.16M
501.25%
investments in property plant and equipment
-585K
-
-3.17M
441.03%
-2.78M
12.10%
476K
117.11%
-1.34M
381.30%
-3.65M
172.29%
-2.95M
19.17%
-9.65M
227.38%
-5.26M
45.50%
-5.67M
7.78%
-6.89M
21.58%
-3.90M
43.43%
-5.31M
36.28%
-2.04M
61.50%
-5.10M
149.39%
-3.19M
37.35%
acquisitions net
-50M
-
1.30M
102.60%
purchases of investments
-59.23M
-
-59.23M
0%
-50M
15.58%
-60.53M
21.05%
-51M
15.74%
-262.06M
413.85%
-30M
88.55%
sales maturities of investments
50M
-
59.23M
18.46%
50M
15.58%
60.53M
21.05%
other investing activites
9.23M
-
50M
-
-1.30M
102.60%
-1
-
net cash used for investing activites
-585K
-
-3.17M
441.03%
-2.78M
12.10%
476K
117.11%
-1.34M
381.30%
-3.65M
172.29%
-2.95M
19.17%
-9.65M
227.38%
-5.26M
45.50%
-55.67M
958.71%
-66.12M
18.77%
-3.90M
94.10%
-6.61M
69.57%
-3.04M
53.93%
-206.63M
6,686.04%
-33.20M
83.94%
debt repayment
common stock issued
22.32M
-
746K
-
1.87M
150.94%
906K
51.60%
3.26M
259.82%
456K
86.01%
174.60M
38,190.57%
-205K
100.12%
common stock repurchased
-22.91M
-
dividends paid
other financing activites
49.72M
-
556K
98.88%
50.31M
8,948.20%
214K
99.57%
6.76M
3,057.94%
408K
93.96%
170.85M
41,774.51%
3.85M
97.75%
1.98M
48.66%
-308K
-
-308K
0%
-2.73M
785.06%
-326K
88.04%
-2.16M
-
net cash used provided by financing activities
49.72M
-
-22.35M
144.96%
50.31M
325.07%
214K
99.57%
6.76M
3,057.94%
408K
93.96%
170.85M
41,774.51%
26.17M
84.68%
1.98M
92.44%
746K
62.27%
1.56M
109.65%
598K
61.76%
534K
10.70%
130K
75.66%
174.60M
134,211.54%
7K
100.00%
effect of forex changes on cash
72K
-
192K
166.67%
141K
26.56%
-27K
119.15%
-6K
77.78%
34K
666.67%
-146K
529.41%
-86K
41.10%
-39K
54.65%
-77K
97.44%
109K
241.56%
-61K
155.96%
-70K
14.75%
-152K
117.14%
153K
200.66%
-100K
165.36%
net change in cash
44.38M
-
-46.08M
203.83%
42.40M
192.01%
-10.85M
125.59%
-3.54M
67.41%
-29.17M
725.06%
169.48M
680.94%
18.79M
88.91%
-15.54M
182.69%
-53.24M
242.63%
-66.76M
25.39%
-15.20M
77.23%
18.46M
221.46%
1.94M
89.49%
-32.91M
1,795.67%
-29.13M
11.49%
cash at beginning of period
73.91M
-
118.29M
60.05%
72.21M
38.96%
114.61M
58.72%
103.76M
9.47%
100.22M
3.41%
71.05M
29.11%
240.53M
238.55%
259.32M
7.81%
243.78M
5.99%
190.54M
21.84%
123.78M
35.04%
108.58M
12.28%
127.05M
17.00%
128.99M
1.53%
96.07M
25.52%
cash at end of period
118.29M
-
72.21M
38.96%
114.61M
58.72%
103.76M
9.47%
100.22M
3.41%
71.05M
29.11%
240.53M
238.55%
259.32M
7.81%
243.78M
5.99%
190.54M
21.84%
123.78M
35.04%
108.58M
12.28%
127.05M
17.00%
128.99M
1.53%
96.07M
25.52%
66.94M
30.32%
operating cash flow
-4.82M
-
-20.76M
330.40%
-5.27M
74.62%
-11.51M
118.53%
-8.95M
22.26%
-25.97M
190.20%
1.73M
106.65%
2.36M
36.65%
-12.22M
617.75%
1.76M
114.38%
-2.31M
231.70%
-11.84M
411.62%
24.61M
307.86%
5.01M
79.65%
-1.04M
120.69%
4.16M
501.25%
capital expenditure
-585K
-
-3.17M
441.03%
-2.78M
12.10%
476K
117.11%
-1.34M
381.30%
-3.65M
172.29%
-2.95M
19.17%
-9.65M
227.38%
-5.26M
45.50%
-5.67M
7.78%
-6.89M
21.58%
-3.90M
43.43%
-5.31M
36.28%
-2.04M
61.50%
-5.10M
149.39%
-3.19M
37.35%
free cash flow
-5.41M
-
-23.92M
342.36%
-8.05M
66.35%
-11.04M
37.09%
-10.29M
6.78%
-29.62M
187.87%
-1.22M
95.88%
-7.29M
497.38%
-17.48M
139.81%
-3.91M
77.63%
-9.20M
135.40%
-15.74M
70.98%
19.30M
222.62%
2.96M
84.64%
-6.14M
307.09%
962K
115.68%

All numbers in USD (except ratios and percentages)