
Crawford & Company
Crawford & Company (CRD-A) PE Ratio — Current & Historical Data
Trailing twelve months (TTM) P/E, forward P/E, PEG, and annual PE history — from market prices and filings.
crd-a · pe ratio · data through Dec 31, 2025
Core PE Ratio Metrics
Trailing 12 months · TTMThe price-to-earnings (P/E) ratio for Crawford & Company (CRD-A) measures how much investors pay for each dollar of the company's trailing earnings. CRD-A's current PE ratio of 29.16x is calculated by dividing its stock price of $10.68 by its TTM earnings per share of $0.37. +49.4% elevated vs 5Y avg 19.5x
Source: FMP · /ratios-ttm · /analyst-estimates · 2025-12-31
PE Ratio History
2006 – 2025 · Annual▸ FMP /ratios?period=annual&limit=20 · priceToEarningsRatio + netIncomePerShare (Annual)
Historical PE Range
Past 17 fiscal years · Front-end computedMinQ1 · 25%13.9x
MedianQ3 · 75%49.3x
Max
At 29.16x, CRD-A's current P/E is higher than in 94% of its annual fiscal year readings over the past 17 years — historically elevated.
Percentile calculated from annual fiscal year data points, not by trading day. Years where PE ≤ 0 or > 9,999 are excluded.
PE Ratio vs Peers
Insurance - Brokers · 6 peers · Annual PE| Company | Market Cap | PE (Annual) | vs Avg | EPS (TTM) |
|---|---|---|---|---|
Crawford & CompanyYou CRD-A | $526M | 29.16x | +126.7% | $0.37 |
American Coastal Insurance Corporation ACIC | $495M | 5.73x | -55.4% | $2.20 |
Alerus Financial Corporation ALRS | $731M | 32.77x | +154.8% | $0.69 |
Crescent Capital BDC, Inc. CCAP | $408M | 15.08x | +17.3% | $0.93 |
Donegal Group Inc. DGICA | $626M | 7.74x | -39.8% | $2.58 |
BitFuFu Inc. FUFU | $282M | N/A | — | -$0.19 |
Gladstone Investment Corporation GAIN | $606M | 2.98x | -76.9% | $4.77 |
Industry Average 5 peers with valid PE | — | 12.86x | baseline | — |
* N/A — Company is not profitable (TTM) · excluded from industry average · ▸ FMP /stock-peers + /ratios?limit=1 · priceToEarningsRatio
Annual PE Ratio History
| Fiscal Year End | PE Ratio | EPS (TTM) | YoY Change | PE vs Max |
|---|---|---|---|---|
2025-12-31Latest FY2025 | 28.40x | $0.40 | +33.1% | |
2024-12-31 FY2024 | 21.34x | $0.54 | +1.5% | |
2023-12-31 FY2023 | 21.03x | $0.63 | — | |
2022-12-31 FY2022 | — | $-0.37 | — | |
2021-12-31 FY2021 | 12.93x | $0.58 | -6.8% | |
2020-12-31 FY2020 | 13.88x | $0.53 | -71.8% | |
2019-12-31 FY2019 | 49.25x | $0.23 | +182.2% | |
2018-12-31 FY2018 | 17.45x | $0.51 | +8.8% | |
2017-12-31 FY2017 | 16.04x | $0.53 | +15.2% | |
2016-12-31 FY2016 | 13.93x | $0.68 | — |
▸ FMP /ratios?period=annual&limit=20 · priceToEarningsRatio + netIncomePerShare · Zero extra API
About PE Ratio & Methodology
The price-to-earnings (P/E) ratio for Crawford & Company (CRD-A) measures how much investors pay for each dollar of the company's trailing earnings. CRD-A's current PE ratio of 29.16x is calculated by dividing its stock price of $10.68 by its TTM earnings per share of $0.37.
Frequently asked questions
CRD-A pe ratio · 6 questionsCRD-A's current PE ratio is 29.16x as of 2026-06-09, based on a stock price of $10.68 and TTM EPS of $0.37. Data sourced from Financial Modeling Prep via CRD-A's SEC 10-K and 10-Q filings.
▸ Source: FMP · /ratios-ttm · /ratios annual · /analyst-estimates · /stock-peers · Crawford & Company SEC 10-K & 10-Q filings · US GAAP · Updated: 2026-06-09