Cadre Holdings Long Term Debt 2021-2026 | CDRE

Cadre Holdings long term debt from 2021 to 2026. Long term debt can be defined as the sum of all long term debt fields.
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Cadre Holdings Annual Long Term Debt
(Millions of US $)
2025 $291
2024 $212
2023 $128
2022 $137
2021 $147
2020 $209
Cadre Holdings Quarterly Long Term Debt
(Millions of US $)
2026-06-30 $354
2026-03-31 $350
2025-12-31 $291
2025-09-30 $295
2025-06-30 $299
2025-03-31 $209
2024-12-31 $212
2024-09-30 $195
2024-06-30 $198
2024-03-31 $201
2023-12-31 $128
2023-09-30 $130
2023-06-30 $133
2023-03-31 $135
2022-12-31 $137
2022-09-30 $140
2022-06-30 $142
2022-03-31 $145
2021-12-31 $147
2021-09-30 $213
Sector Industry Market Cap Revenue
Industrial Products Protection - Safety Equipment & Services $1.118B $0.610B
Cadre Holdings Inc. is a manufacturer and distributer of safety and survivability equipment for first responders. The Company's core products include body armor, explosive ordnance disposal equipment and duty gear. Its primarily brands include Safariland(R) and Med-Eng(R). Cadre Holdings Inc. is headquartered in Jacksonville, Florida.
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