_id
69105484ccc777a4e85d557f
Ticker
CREX
Name
Creative Realities Inc
Exchange
NASDAQ
Address
13100 Magisterial Drive, Louisville, KY, United States, 40223
Country
USA
Sector
Technology
Industry
Software - Application
Currency
USD
Website
https://www.cri.com
Description
Creative Realities, Inc., together with its subsidiaries, provides digital marketing technology and solutions in the United States and internationally. It offers digital signage and media solutions to enhance communications in a wide-ranging variety of out-of-home environments. The company also provides digital merchandising systems and omni-channel customer engagement systems; interactive digital shopping assistants; advisors and kiosks; and other interactive marketing technologies, such as mobile, social media, point-of-sale transactions, beaconing, and web-based media that enables its customers to engage with their consumers. In addition, it offers hardware system design/engineering, hardware installation, content development, content scheduling, post-deployment network and field support, and media sales, as well as media management and distribution software platforms and networks; device management; product management; and customized software service layers, systems, experiences, workflows, and integrated solutions. The company sells its solutions to the automotive, retail, digital out of home comprising advertising networks and retail media networks, foodservice/quick-serve restaurants, financial services, gaming, and sports and entertainment venues. Creative Realities, Inc. is headquartered in Louisville, Kentucky.
Last Close
2.84
Volume
22472
Current Price
2.9281
Change
3.102112676056348
Last Updated
2025-11-29T11:50:33.211Z
Image
data:image/webp;base64,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
Ipo Date
2013-05-31T00:00:00.000Z
Market Cap
30399714
Next Dividend Date
-
Dividend Frequency
-
Dividend Rate
-
Dividend Yield
0
Sentiment
0.99065
Sentiment Sources
6
Rating
4.75
Target Price
8.125
Strong Buy
3
Buy
1
Hold
0
Sell
0
Strong Sell
0
Current Quarter
2025-09-30
Revenue
10547000
Cost Of Revenue
5770000
Gross Profit
4777000
Operating Expenses
12047000
Operating Income
-7270000
Interest Expense
530000
Pretax Income
-7944000
Net Income
-7862000
Eps
-0.7474094495674494
Dividends Per Share
-
Shares Outstanding
10518932
Income Tax Expense
-82000
EBITDA
-6189000
Operating Margin
-68.92955342751493
Total Other Income Expense Net
-674000
Cash
314000
Short Term Investments
-
Receivables
11084000
Inventories
4305000
Total Current Assets
16993000
Property Plant Equipment
2064000
Total Assets
61266000
Payables
8705000
Short Term Debt
1222000
Long Term Debt
21361000
Total Liabilities
39377000
Equity
21889000
Depreciation
1225000
Change In Working Capital
-1172000
Cash From Operations
-1607000
Capital Expenditures
101000
Cash From Investing
-709000
Cash From Financing
2061000
Net Change In Cash
-255000
PE
-
PB
1.3455708346658137
ROE
-35.91758417469962
ROA
-12.832566186792022
FCF
-1708000
Fcf Percent
-0.16194178439366644
Piotroski FScore
1
Health Score
25
Deep Value Investing Score
2.5
Defensive Investing Score
5
Dividend Investing Score
1.5
Economic Moat Investing Score
3.3
Garp Investing Score
1.5
Growth Investing Score
1
Momentum Investing Score
5
Net Net Investing Score
1
Quality Investing Score
1.5
Value Investing Score
3.5
Quarters > 0 > quarter
2025-09-30
Quarters > 0 > income Statement > revenue
10547000
Quarters > 0 > income Statement > cost Of Revenue
5770000
Quarters > 0 > income Statement > gross Profit
4777000
Quarters > 0 > income Statement > operating Expenses
12047000
Quarters > 0 > income Statement > operating Income
-7270000
Quarters > 0 > income Statement > interest Expense
530000
Quarters > 0 > income Statement > pretax Income
-7944000
Quarters > 0 > income Statement > net Income
-7862000
Quarters > 0 > income Statement > eps
-0.7474094495674494
Quarters > 0 > income Statement > dividends Per Share
-
Quarters > 0 > income Statement > shares Outstanding
10519000
Quarters > 0 > income Statement > income Tax Expense
-82000
Quarters > 0 > income Statement > EBITDA
-6189000
Quarters > 0 > income Statement > operating Margin
-68.92955342751493
Quarters > 0 > income Statement > total Other Income Expense Net
-674000
Quarters > 0 > balance Sheet > cash
314000
Quarters > 0 > balance Sheet > short Term Investments
-
Quarters > 0 > balance Sheet > receivables
11084000
Quarters > 0 > balance Sheet > inventories
4305000
Quarters > 0 > balance Sheet > total Current Assets
16993000
Quarters > 0 > balance Sheet > property Plant Equipment
2064000
Quarters > 0 > balance Sheet > total Assets
61266000
Quarters > 0 > balance Sheet > payables
8705000
Quarters > 0 > balance Sheet > short Term Debt
1222000
Quarters > 0 > balance Sheet > long Term Debt
21361000
Quarters > 0 > balance Sheet > total Liabilities
39377000
Quarters > 0 > balance Sheet > equity
21889000
Quarters > 0 > cash Flow > net Income
-7862000
Quarters > 0 > cash Flow > depreciation
1225000
Quarters > 0 > cash Flow > change In Working Capital
-1172000
Quarters > 0 > cash Flow > cash From Operations
-1607000
Quarters > 0 > cash Flow > capital Expenditures
101000
Quarters > 0 > cash Flow > cash From Investing
-709000
Quarters > 0 > cash Flow > cash From Financing
2061000
Quarters > 0 > cash Flow > net Change In Cash
-255000
Quarters > 0 > ratios > PE
-0.7474094495674494
Quarters > 0 > ratios > PB
1.3455708346658137
Quarters > 0 > ratios > ROE
-35.91758417469962
Quarters > 0 > ratios > ROA
-12.832566186792022
Quarters > 0 > ratios > FCF
-1708000
Quarters > 0 > ratios > Piotroski FScore
1
Quarters > 0 > ratios > fcf Percent
-0.16194178439366644
Quarters > 0 > health Score
25
Quarters > 1 > quarter
2025-06-30
Quarters > 1 > income Statement > revenue
13030000
Quarters > 1 > income Statement > cost Of Revenue
8013000
Quarters > 1 > income Statement > gross Profit
5017000
Quarters > 1 > income Statement > operating Expenses
6348000
Quarters > 1 > income Statement > operating Income
-1331000
Quarters > 1 > income Statement > interest Expense
513000
Quarters > 1 > income Statement > pretax Income
-1843000
Quarters > 1 > income Statement > net Income
-1817000
Quarters > 1 > income Statement > eps
-0.17311356707317074
Quarters > 1 > income Statement > dividends Per Share
-
Quarters > 1 > income Statement > shares Outstanding
10496000
Quarters > 1 > income Statement > income Tax Expense
-26000
Quarters > 1 > income Statement > EBITDA
-113000
Quarters > 1 > income Statement > operating Margin
-10.214888718342287
Quarters > 1 > income Statement > total Other Income Expense Net
-512000
Quarters > 1 > balance Sheet > cash
569000
Quarters > 1 > balance Sheet > short Term Investments
-
Quarters > 1 > balance Sheet > receivables
10569000
Quarters > 1 > balance Sheet > inventories
1055000
Quarters > 1 > balance Sheet > total Current Assets
13114000
Quarters > 1 > balance Sheet > property Plant Equipment
2143000
Quarters > 1 > balance Sheet > total Assets
63653000
Quarters > 1 > balance Sheet > payables
6169000
Quarters > 1 > balance Sheet > short Term Debt
1011000
Quarters > 1 > balance Sheet > long Term Debt
19502000
Quarters > 1 > balance Sheet > total Liabilities
34210000
Quarters > 1 > balance Sheet > equity
29443000
Quarters > 1 > cash Flow > net Income
-1817000
Quarters > 1 > cash Flow > depreciation
1217000
Quarters > 1 > cash Flow > change In Working Capital
2432000
Quarters > 1 > cash Flow > cash From Operations
3222000
Quarters > 1 > cash Flow > capital Expenditures
101000
Quarters > 1 > cash Flow > cash From Investing
-643000
Quarters > 1 > cash Flow > cash From Financing
-3159000
Quarters > 1 > cash Flow > net Change In Cash
-580000
Quarters > 1 > ratios > PE
-0.17311356707317074
Quarters > 1 > ratios > PB
0.9981591549774139
Quarters > 1 > ratios > ROE
-6.171246136602928
Quarters > 1 > ratios > ROA
-2.854539456113616
Quarters > 1 > ratios > FCF
3121000
Quarters > 1 > ratios > Piotroski FScore
2
Quarters > 1 > ratios > fcf Percent
0.23952417498081352
Quarters > 1 > health Score
43
Quarters > 2 > quarter
2025-03-31
Quarters > 2 > income Statement > revenue
9734000
Quarters > 2 > income Statement > cost Of Revenue
5281000
Quarters > 2 > income Statement > gross Profit
4453000
Quarters > 2 > income Statement > operating Expenses
5175000
Quarters > 2 > income Statement > operating Income
-722000
Quarters > 2 > income Statement > interest Expense
321000
Quarters > 2 > income Statement > pretax Income
3467000
Quarters > 2 > income Statement > net Income
3368000
Quarters > 2 > income Statement > eps
0.3223892026419068
Quarters > 2 > income Statement > dividends Per Share
-
Quarters > 2 > income Statement > shares Outstanding
10447000
Quarters > 2 > income Statement > income Tax Expense
99000
Quarters > 2 > income Statement > EBITDA
4975000
Quarters > 2 > income Statement > operating Margin
-7.417300184918842
Quarters > 2 > income Statement > total Other Income Expense Net
4189000
Quarters > 2 > balance Sheet > cash
1149000
Quarters > 2 > balance Sheet > short Term Investments
-
Quarters > 2 > balance Sheet > receivables
12983000
Quarters > 2 > balance Sheet > inventories
1788000
Quarters > 2 > balance Sheet > total Current Assets
16879000
Quarters > 2 > balance Sheet > property Plant Equipment
1017000
Quarters > 2 > balance Sheet > total Assets
66991000
Quarters > 2 > balance Sheet > payables
4658000
Quarters > 2 > balance Sheet > short Term Debt
791000
Quarters > 2 > balance Sheet > long Term Debt
22851000
Quarters > 2 > balance Sheet > total Liabilities
37121000
Quarters > 2 > balance Sheet > equity
29870000
Quarters > 2 > cash Flow > net Income
3368000
Quarters > 2 > cash Flow > depreciation
1187000
Quarters > 2 > cash Flow > change In Working Capital
-2314000
Quarters > 2 > cash Flow > cash From Operations
-2449000
Quarters > 2 > cash Flow > capital Expenditures
8000
Quarters > 2 > cash Flow > cash From Investing
-621000
Quarters > 2 > cash Flow > cash From Financing
3182000
Quarters > 2 > cash Flow > net Change In Cash
112000
Quarters > 2 > ratios > PE
0.3223892026419068
Quarters > 2 > ratios > PB
0.9792969534650151
Quarters > 2 > ratios > ROE
11.275527284901239
Quarters > 2 > ratios > ROA
5.027541012971891
Quarters > 2 > ratios > FCF
-2457000
Quarters > 2 > ratios > Piotroski FScore
2
Quarters > 2 > ratios > fcf Percent
-0.2524142182042326
Quarters > 2 > health Score
52
Quarters > 3 > quarter
2024-12-31
Quarters > 3 > income Statement > revenue
11012000
Quarters > 3 > income Statement > cost Of Revenue
6142000
Quarters > 3 > income Statement > gross Profit
4870000
Quarters > 3 > income Statement > operating Expenses
5584000
Quarters > 3 > income Statement > operating Income
-714000
Quarters > 3 > income Statement > interest Expense
296000
Quarters > 3 > income Statement > pretax Income
-2958000
Quarters > 3 > income Statement > net Income
-3222000
Quarters > 3 > income Statement > eps
-0.3086206896551724
Quarters > 3 > income Statement > dividends Per Share
-
Quarters > 3 > income Statement > shares Outstanding
10440000
Quarters > 3 > income Statement > income Tax Expense
-120000
Quarters > 3 > income Statement > EBITDA
-1485000
Quarters > 3 > income Statement > operating Margin
-6.483835815474029
Quarters > 3 > income Statement > total Other Income Expense Net
-2244000
Quarters > 3 > balance Sheet > cash
1036999
Quarters > 3 > balance Sheet > short Term Investments
-
Quarters > 3 > balance Sheet > receivables
10605000
Quarters > 3 > balance Sheet > inventories
1995000
Quarters > 3 > balance Sheet > total Current Assets
14496000
Quarters > 3 > balance Sheet > property Plant Equipment
1108000
Quarters > 3 > balance Sheet > total Assets
65209999
Quarters > 3 > balance Sheet > payables
6354000
Quarters > 3 > balance Sheet > short Term Debt
512000
Quarters > 3 > balance Sheet > long Term Debt
13044000
Quarters > 3 > balance Sheet > total Liabilities
39749999
Quarters > 3 > balance Sheet > equity
25460000
Quarters > 3 > cash Flow > net Income
-2838000
Quarters > 3 > cash Flow > depreciation
1177000
Quarters > 3 > cash Flow > change In Working Capital
-1513000
Quarters > 3 > cash Flow > cash From Operations
-1369000
Quarters > 3 > cash Flow > capital Expenditures
499000
Quarters > 3 > cash Flow > cash From Investing
-499000
Quarters > 3 > cash Flow > cash From Financing
2037000
Quarters > 3 > cash Flow > net Change In Cash
169000
Quarters > 3 > ratios > PE
-0.3086206896551724
Quarters > 3 > ratios > PB
1.14815396700707
Quarters > 3 > ratios > ROE
-12.655145326001572
Quarters > 3 > ratios > ROA
-4.94096005123386
Quarters > 3 > ratios > FCF
-1868000
Quarters > 3 > ratios > Piotroski FScore
1
Quarters > 3 > ratios > fcf Percent
-0.1696331274972757
Quarters > 3 > health Score
25
Valuation > metrics > PE
-0.7474094495674494
Valuation > metrics > PB
1.3455708346658137
Valuation > final Score
80
Valuation > verdict
Fair
Profitability > metrics > ROE
-35.91758417469962
Profitability > metrics > ROA
-46.26610957453069
Profitability > metrics > Net Margin
-0.7454252394045701
Profitability > final Score
0
Profitability > verdict
Weak
Risk > metrics > Debt Equity
1.7989401069030106
Risk > metrics > Interest Coverage
-13.716981132075471
Risk > final Score
-25
Risk > verdict
High
Liquidity > metrics > Current Ratio
1.711796111614788
Liquidity > metrics > Quick Ratio
1.278130351566435
Liquidity > final Score
93
Liquidity > verdict
Great
Prev Valuations > 0
70
Prev Valuations > 1
90
Prev Valuations > 2
80
Prev Profitabilities > 0
0
Prev Profitabilities > 1
83
Prev Profitabilities > 2
0
Prev Risks > 0
20
Prev Risks > 1
21
Prev Risks > 2
20
Prev Liquidities > 0
96
Prev Liquidities > 1
100
Prev Liquidities > 2
100
Updated At
2025-12-12T15:39:23.359Z
Creative Realities, Inc., together with its subsidiaries, provides digital marketing technology and solutions in the United States and internationally. It offers digital signage and media solutions to enhance communications in a wide-ranging variety of out-of-home environments. The company also provides digital merchandising systems and omni-channel customer engagement systems; interactive digital shopping assistants; advisors and kiosks; and other interactive marketing technologies, such as mobile, social media, point-of-sale transactions, beaconing, and web-based media that enables its customers to engage with their consumers. In addition, it offers hardware system design/engineering, hardware installation, content development, content scheduling, post-deployment network and field support, and media sales, as well as media management and distribution software platforms and networks; device management; product management; and customized software service layers, systems, experiences, workflows, and integrated solutions. The company sells its solutions to the automotive, retail, digital out of home comprising advertising networks and retail media networks, foodservice/quick-serve restaurants, financial services, gaming, and sports and entertainment venues. Creative Realities, Inc. is headquartered in Louisville, Kentucky.
Stock Price
$ 0.00
0% increase compared to yesterday.
Dividend
Frequency:
Rate:
N/ANext Payout:
N/ACreative Realities (NASDAQ:CREX) Stock Price Up 1.4% – Time to Buy? Defense World
Read more →Afentra (OTCMKTS:STGAF) Stock Price Down 5.8% – What’s Next? Defense World
Read more →Showing 2 of 10
(Last Updated 2025-09-30)
Rating:
STRONG BUY
Target Price:
$8.125
Analyst Picks
Strong Buy
3
Buy
1
Hold
0
Sell
0
Strong Sell
0
Sentiment:
Bullish
(Last Updated 2025-09-30)
Health Score
Price to Book Ratio (P/B)
-
Very Low
Low ≤ 1
High ≥ 3
Return on Equity (ROE)
-
Very Low
Low ≤ 5%
High ≥ 25%
Return on Assets (ROA)
-
Very Low
Low ≤ 2%
High ≥ 10%
Free Cash Flow - Revenue % (FCF)
-
Very Low
Low ≤ 5%
High ≥ 15%
Debt to Equity
-
Very Low
Low ≥ 1
High ≤ 0.3
* Institutions hold a combined 20.44% of the total shares of Creative Realities Inc
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since
2025/08/31
8.
Sargent Investment Group, LLC(0.9079%)
since
2025/06/30
9.
Geode Capital Management, LLC(0.7661%)
since
2025/06/30
10.
Royal Bank of Canada(0.6526%)
since
2025/06/30
11.
RBC Microcap Value I(0.6455%)
since
2025/06/30
12.
Renaissance Technologies Corp(0.637%)
since
2025/06/30
13.
Vanguard Institutional Extnd Mkt Idx Tr(0.637%)
since
2025/07/31
14.
Fidelity Extended Market Index(0.4316%)
since
2025/07/31
15.
Dimensional Fund Advisors, Inc.(0.3857%)
since
2025/06/30
16.
Morgan Stanley - Brokerage Accounts(0.3251%)
since
2025/06/30
17.
Northern Trust Corp(0.3162%)
since
2025/06/30
18.
Goldman Sachs Group Inc(0.2706%)
since
2025/06/30
19.
Susquehanna International Group, LLP(0.2422%)
since
2025/06/30
20.
Virtu Financial LLC(0.1846%)
since
2025/06/30
21.
Dimensional US Targeted Value ETF(0.172%)
since
2025/08/29
22.
DFA US Small Cap Value I(0.1523%)
since
2025/07/31
23.
Commonwealth Equity Services Inc(0.151%)
since
2025/06/30
24.
Fidelity Series Total Market Index(0.1099%)
since
2025/07/31
25.
State Street Corp(0.1056%)
since
2025/06/30
26.
NT Ext Equity Mkt Idx Fd - L(0.1%)
since
2025/06/30
27.
Northern Trust Extended Eq Market Idx(0.1%)
since
2025/06/30
28.
Spartan Extended Market Index Pool F(0.096%)
since
2025/07/31
29.
Bridgeway Omni Small-Cap Value N(0.0951%)
since
2025/06/30
30.
Bridgeway Omni Small-Cap Value(0.0951%)
since
2025/06/30
31.
Fidelity Total Market Index(0.0915%)
since
2025/07/31
32.
Spartan Total Market Index Pool G(0.0484%)
since
2025/07/31
33.
Dimensional US Core Equity 1 ETF(0.036%)
since
2025/08/29
34.
DFA US Small Cap I(0.0298%)
since
2025/07/31
35.
NT Ext Eq Mkt Indx Fd DC Lending Tier 5(0.0282%)
since
2025/06/30
36.
NT Ext Eq Mkt Indx Fd DC Lend T3(0.0238%)
since
2024/12/31
37.
UBS Group AG(0.0125%)
since
2025/06/30
38.
Indiana Trust & Investment Management Co(0.0054%)
since
2025/06/30
39.
Advisor Group Holdings, Inc.(0.0029%)
since
2025/06/30
40.
Tower Research Capital LLC(0.001%)
since
2025/06/30
* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.
No earnings data available.
(Last Updated 2025-09-30)
(Last Updated 2025-09-30)
Revenue
$ 0
Cost Of Revenue
$ 0
Gross Profit
$ 0
Operating Expenses
$ 0
Operating Income
$ 0
Interest Expense
$ 0
Pretax Income
$ 0
Net Income
$ 0
Income Tax Expense
$ 0
EBITDA
$ 0
Total Other Income Expense Net
$ 0
Earnings Per Share
0
Dividends Per Share
0
Shares Outstanding
0
Operating Margin
0%
(Last Updated 2025-09-30)
Cash
$ 0
Short Term Investments
$ 0
Receivables
$ 0
Inventories
$ 0
Total Current Assets
$ 0
Property Plant Equipment
$ 0
Total Assets
$ 0
Payables
$ 0
Short Term Debt
$ 0
Long Term Debt
$ 0
Total Liabilities
$ 0
Equity
$ 0
(Last Updated 2025-09-30)
Net Income
$ 0
Depreciation
$ 0
Change In Working Capital
$ 0
Cash From Operations
$ 0
Capital Expenditures
$ 0
Cash From Investing
$ 0
Cash From Financing
$ 0
Net Change In Cash
$ 0
Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.