Cadre Holdings, Inc.

Listed Company
CDRECIK 0001860543NYSEAcceleratedEmerging GrowthOrthopedic, Prosthetic & Surgical Appliances & SuppliesDelawareFY ends Dec 31
Period
FY 2025
Revenue
$610.31M
Net Income
$44.14M
Total Assets
$770.03M
Equity
$317.80M
Shares Out
42.73M
Op. Cash Flow
$63.70M

Business

Cadre Holdings, Inc. is a global manufacturer and distributor of critical safety equipment for law enforcement, first responders, military and nuclear markets. It offers products including body armor, explosive ordnance disposal suits and robots, duty gear and holsters, nuclear safety solutions, and complementary protective and consumable items. Its operations are organized around product-focused segments such as body armor, explosive ordnance disposal (Med‑Eng), duty gear (Safariland/Radar/Bianchi) and nuclear safety (Alpha Safety/NucFil). The company serves domestic and international customers through direct sales, distributors, owned distribution, and e‑commerce channels across more than 100 countries.

Summary from filing dated 2025-03-11

Financials

Consolidated Statement of Income

Year Ended · In millions, except per-share amounts
ConceptTrend
FY 2025
2025-12-31
FY 2024
2024-12-31
FY 2023
2023-12-31
FY 2022
2022-12-31
FY 2021
2021-12-31
Net sales610568483458427
Cost of goods sold351334282282257
Gross profit260233201176171
Selling, general and administrative183158141153115
Restructuring and transaction costs86243
Related party expense1211579,000
Total operating expenses192167144159119
Operating income6767571752
Interest expense, net−12−8−5
Other income (expense), net7−5936,000−1−947,000
Total other expense, net−5−13−4−7−33
Income before provision for income taxes625453919
Provision for income taxes−18−18−14−4−7
Net income443639613
Basic (per share)1.080.91.030.160.44
Diluted (per share)1.020.91.020.160.44
Basic (shares)4140383629
Diluted (shares)4340383629
Unrealized holding (losses) gains on derivative instruments, net of tax−284,0002775,0006767,000
Reclassification adjustments for gains included in net income, net of tax−3−3−3−618,000146,000
Total unrealized loss on derivative instruments, net of tax−3−2−26913,000
Foreign currency translation adjustments, net of tax5−269,000929,000−230,000
Other comprehensive income (loss)2−2−14943,000
Comprehensive income, net of tax4634371014

Filings

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