Creative Realities, Inc. (CREX)
NASDAQ: CREX · Real-Time Price · USD
3.750
-0.050 (-1.32%)
Apr 28, 2026, 4:00 PM EDT - Market closed

Creative Realities Income Statement

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Revenue
57.2350.8545.1743.3518.44
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Revenue Growth (YoY)
12.54%12.59%4.19%135.13%5.61%
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Cost of Revenue
31.5226.8422.9825.6110.08
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Gross Profit
25.7124.0122.1817.748.36
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Selling, General & Admin
26.9123.0720.8415.548.47
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Research & Development
---1.250.55
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Operating Expenses
26.9123.0720.8419.6310.39
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Operating Income
-1.20.941.35-1.89-2.03
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Interest Expense
-2.48-1.78-2.99-2.74-0.81
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Other Non Operating Income (Expenses)
0.060.10.217.41-0.53
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EBT Excluding Unusual Items
-3.62-0.74-1.442.77-3.36
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Merger & Restructuring Charges
-2.24---0.44-
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Asset Writedown
-5.71----
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Other Unusual Items
4.46-2.67-1.42-0.383.62
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Pretax Income
-7.11-3.4-2.851.960.25
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Income Tax Expense
1.170.110.080.080.02
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Net Income
-8.28-3.51-2.941.880.23
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Preferred Dividends & Other Adjustments
0.23----
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Net Income to Common
-8.51-3.51-2.941.880.23
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Net Income Growth
---708.62%-
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Shares Outstanding (Basic)
1010874
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Shares Outstanding (Diluted)
1010874
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Shares Change (YoY)
0.53%23.13%27.24%70.00%15.35%
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EPS (Basic)
-0.81-0.34-0.350.280.06
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EPS (Diluted)
-0.81-0.34-0.350.280.06
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EPS Growth
---373.11%-
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Free Cash Flow
-8.063.374.86-0.860.45
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Free Cash Flow Per Share
-0.770.320.57-0.130.12
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Gross Margin
44.93%47.22%49.11%40.92%45.33%
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Operating Margin
-2.10%1.84%2.98%-4.35%-11.02%
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Profit Margin
-14.87%-6.90%-6.50%4.33%1.26%
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Free Cash Flow Margin
-14.08%6.63%10.76%-1.98%2.45%
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EBITDA
5.295.024.570.95-0.67
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EBITDA Margin
9.25%9.86%10.11%2.18%-3.62%
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D&A For EBITDA
6.494.083.222.831.36
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EBIT
-1.20.941.35-1.89-2.03
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EBIT Margin
-2.10%1.84%2.98%-4.35%-11.02%
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Effective Tax Rate
---4.04%8.66%
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Revenue as Reported
57.2350.8545.1743.3518.44
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Source: S&P Capital IQ. Standard template. Financial Sources.