Follow-The-Filings

Security

CXT

Crane Nxt Co. · COM

Equity holders as of 2026 Q1 (each manager’s latest book)

14 owners 2 new max 0.3% (Ancora Advisors LLC)

owners 14
max % 0.3%
tracked value $406M
qoq N 2 A 7 R 3

holders

sorted by % of portfolio · long equity only

manager % port activity shares value history
Ancora Advisors LLC 2026 Q1 0.3% Add +0.07 pp 378,741 $15M hist
Joel Greenblatt - Gotham Asset Management, LLC 2026 Q1 0.0% Add 0.00 pp 196,393 $8M hist
Two Sigma Investments, LP 2025 Q4 stale 0.0% Exit -0.01 pp 220,885 $10M hist
Dmitry Balyasny - Balyasny Asset Management L.P. 2026 Q1 0.0% Reduce 0.00 pp 203,999 $8M hist
Steve Cohen - Point72 Asset Management, L.P. 2026 Q1 0.0% New 0.0% 203,654 $8M hist
Lee Ainslie - Maverick Capital Ltd 2026 Q1 0.0% New 0.0% 22,089 $897 hist
Vanguard Group Inc. 2025 Q4 stale 0.0% Reduce 0.00 pp 5,981,999 $282M hist
Norges Bank 2025 Q4 stale 0.0% Exit 0.00 pp 638,561 $30M hist
Ken Griffin - Citadel Advisors LLC 2026 Q1 0.0% Add 0.00 pp 679,167 $28M hist
Israel Englander - Millennium Management LLC 2026 Q1 0.0% Add 0.00 pp 123,529 $5M hist
Marshall Wace - Marshall Wace, LLP 2026 Q1 0.0% Add 0.00 pp 110,358 $4M hist
Cliff Asness - Aqr Capital Management LLC 2026 Q1 0.0% Add 0.00 pp 75,172 $3M hist
Renaissance Technologies LLC 2026 Q1 0.0% Add 0.00 pp 52,200 $2M hist
Natixis Advisors, LLC 2026 Q1 0.0% Reduce 0.00 pp 15,920 $646 hist

financials

US-GAAP annual · as tagged in Form 10-K · fiscal years · values link to the SEC filing

Income statement

Metric FY2023 FY2024 FY2025
Revenue $1.39B $1.49B $1.66B
Gross profit * $654.1M $665.1M $703.8M
Gross margin * 47.0% 44.7% 42.5%
Net income $188.3M $184.1M $145.1M
Net margin * 13.5% 12.4% 8.8%

Balance sheet

Metric FY2023 FY2024 FY2025
Total current assets $644.4M $642.5M $852.9M
Total non-current assets * $1.48B $1.74B $2.26B
Total assets $2.13B $2.39B $3.12B
Total current liabilities $334.4M $562.4M $569.1M
Total non-current liabilities * $831M $759.2M $1.29B
Total equity $964M $1.06B $1.25B

Cash flow

Metric FY2023 FY2024 FY2025
Cash from operations $276.3M $214.1M $241.5M
Cash from investing -$31.1M -$318M -$549M
Cash from financing -$252.5M $62.1M $363.6M
Net change in cash -$3.5M -$53.8M $72.8M

ownership over time

filing count by report period · click a bar for that quarter’s holders