Crawford & Company(CRD-B)
USD --+0.00%
Reward45Moderate
Risk49Moderate
📊75%Data
Thin 3% profit margin · 2.7% dividend yield
CRD-B
+0.0 · +0.00%
USD · NYSE
Crawford & Company | Financial Services
Value Trap
Market Cap:514.86M
ℹ️
Reward Rating
45
Moderate
Bottom 25% (model universe)
75% data coverage
ℹ️
Risk Rating
49
Moderate
Risk Assessment
ℹ️

Educational tool only – Scores are based on historical data and financial metrics for informational purposes. This is not financial advice or a recommendation to buy or sell any security. Always conduct your own research or consult a qualified financial adviser.

ℹ️ Educational tool only · More
Limited data coverage
We don't have enough public data on CRD-B to score it reliably yet — Reward, Risk, Forecasts and Dividends tabs aren't available for this stock. The price chart and basic profile are still shown.
OTC / ADR stock — scores and fundamentals use data tagged in USD by our provider. The issuer may report in a different home currency (e.g. JPY), so treat figures as directional rather than precise.
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Market Performance

Stock returned +10.0% over the past year, broadly in line with market conditions.

Analyst Target

Analyst consensus price target: $14.00.

What is Crawford & Company?

Crawford & Company provides claims management and outsourcing solutions for carriers, brokers, and corporations in the United States, the United Kingdom, Europe, Canada, Australia, Asia, and Latin America.

CRD-B · Verdict

Moderate reward · moderate risk

CRD-B stands out on valuation and volatility, but watch the profitability signal.

Based on 88% data coverage

CRD-B · Verdict

What’s working & what to watch

Strengths 2

  • Valuation75/100

    P/E 9.0× · PEG 0.92

  • Volatility65/100

    Above average

Watchouts 3

  • Profitability30/100

    2% net margin · 19% ROE

  • Growth39/100

    Rev +5.6% CAGR · earnings -4.7%

  • Balance sheet42/100

    Interest covered 3.0×

Model-based scoring. For information only — not financial advice.

What is Crawford & Company?

Crawford & Company provides claims management and outsourcing solutions for carriers, brokers, and corporations in the United States, the United Kingdom, Europe, Canada, Australia, Asia, and Latin America. The company provides claims management services to insurance carriers and self-insured entities risk, including property, public liability, automobile liability, and marine insurances; claims management and adjusting services to insurance carriers and self-insured entities from property and casualty insurance company markets; and field investigation and the evaluation and resolution of property and casualty insurance claims. The company is listed on the NYSE in USA, operating in the Financial Services sector, with a market capitalisation of 514.86M, and a P/E ratio of 15.1x.

Financial Highlights

Investment Breakdown

📈 Growth
Revenue growth is subdued, limiting near-term earnings expansion.
💰 Profitability
Thin or inconsistent margins weigh on earnings quality.
⚠️ Risk
Risk profile appears balanced versus broad market conditions.
💸 Valuation
Currently trading below intrinsic value estimates, suggesting upside potential.

OpenBook Logo Analysis

Reward: Moderate (45)

The scoring profile indicates limited reward potential at this time, with valuation and momentum offering the most support. Risk indicators are moderate, consistent with typical market exposure.

For informational purposes only. Not financial advice.

Company Information
SectorFinancial Services
Market Cap514.86M
P/E Ratio15.1231
Dividend Yield2.74%
52 Week High11.9111
52 Week Low8.5703
Last AnnualDecember
IPO Date1/12/1990
IncorporatedUSA
Shares Outstanding19M
No. of Employees9,083
IndustryInsurance Brokers
ExchangeNYSE
Beta0.692
CurrencyUSD