Copart, Inc.

NASDAQ:CPRT

51 (USD) • At close September 18, 2024
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) USD.

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Operationele Activiteiten:
Nettowinst 1,361.6741,237.7411,090.13936.495699.907591.693418.007394.261270.36219.783178.687180.025182.119166.375151.627138.663156.932136.33896.947102.11679.2257.22257.38942.68529.4292215.21211.26.92.2
Afschrijvingen & Amortisatie 189.761159.684138.605123.084104.25785.33479.0457.44149.64348.89353.72656.72848.16745.69443.24241.35442.80437.08931.45631.29630.80825.54516.30814.3511.4799.87.87.563.41.7
Uitgestelde Inkomstenbelasting -0.8479.94617.017-7.95123.08223.16716.71719.9015.744.365-10.838-3.605-17.579-2.099-4.512-2.3935.69-8.948-4.12-5.62-0.1227.2062.8120.7721.313-0.7-0.10.4-0.30-0.1
Aandelen Gebaseerde Vergoedingen 35.23439.67338.96540.92223.32223.44523.22120.8420.86418.15422.09919.55721.79119.00717.9559.41303.4243.53000000000000
Verandering in Werkkapitaal -114.137-88.281-125.487-95.81866.159-73.91-8.205-20.792-16.125-21.652-7.521-45.964-8.89415.778-3.92321.57-17.68611.138-12.7369.4815.848-10.3395.753-0.653-15.869-0.2-1.54.5-6.6-5.3-0.4
Vorderingen -145.385-123.207-97.75-127.51315.993-60.808-40.335-38.542-54.213-20.417-12.87-31.171-16.202-12.8652.4360.9820-2.416-10.865-8.882-10,628.4-7,447.31.176-11.7160000000
Voorraden -3.69826.549-10.851-24.6021.348-4.719-3.9591.294-2.509-1.7314.012-1.777-0.218-2.666-0.256-0.0541.4891.361-7.19-4.3664,874.2950.2-6.3016.5910001.21.8-3.20
Crediteuren 59.52818.0136.30644.61341.64811.12653.324.26948.347-3.9265.42514.749-3.6075.614-2.67720.60508.6484.37113.2485,754.26,497.15.1255.1250000000
Overig Werkkapitaal -24.582-9.633-53.19211.6847.17-19.509-17.23112.187-7.754.422-4.088-27.76511.13325.695-3.4260.037-19.1753.5450.9489.4815.848-10.3395.753-0.653-15.869-0.2-1.53.3-8.4-2.10
Overige Niet-Contante Posten 505.195.44717.453-5.8411.158-3.0836.28920.4072.016-4.46726.441-7.4154.069-1.823-4.982-5.2686.23.01226.867-1.282-0.553-0.554-0.271-0.255-0.157-0.20.5-0.110.22.9
Kasstroom uit Operationele Activiteiten 1,472.5641,364.211,176.683990.891917.885646.646535.069492.058332.498265.076262.594199.326229.673242.932199.407203.339194.063182.053141.944135.991115.20179.0881.99156.89826.19530.721.924.611.35.24.7
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -510.99-516.636-337.448-462.996-603.674-374.628-296.697-172.178-173.917-79.153-95.81-214.287-57.396-105.082-75.84-78.912-113.364-196.861-117.687-66.258-64.551-70.721-85.937-45.932-37.022-20.7-12.2-7.8-8.6-9.9-2.4
Netto Overnames 21.828-2.744-109.195-5-11.702-0.7451.796-164.3780.562-4.5-14.3-84.022-2.564-34.912-21.3620-38.229-120.014-2.325-4.543-4.733-6.604-8.561-5.0990000000
Aankoop van Beleggingen -4,095.917-1,406.588-374.8660000-3.566-21.1190000000-154.36-921.75-726.012-755.42000000-13.10000
Verkoop/verval van Beleggingen 3,6452.744374.8660000021.4980000000266.131967.85568.395928.020000013.100000
Overige Investeringsactiviteiten -4,074.08931.1754.3332.5314.16819.1066.4250.7650.11.73818.00790.28811.87355.5141.17719.0087.222135.2149.7145.64919.9480.8091.3881.368-17.707-2.6-9.3-3.3-3.8-33.3-10.7
Kasstroom uit Investeringsactiviteiten -940.079-1,892.049-442.31-465.466-601.208-356.267-288.476-335.791-172.876-81.915-92.103-208.021-48.087-84.48-96.025-59.904-32.6-135.561-267.915107.448-49.336-76.517-93.11-49.664-54.73-10.2-34.6-11.1-12.4-43.2-13.1
Financieringsactiviteiten:
Schuldaflossingen -10.835-33.947-417.289-1.118-1.0650-231-7-337.5-350-75-96.66-56.25-250-17.502000000000000000
Uitgifte van Gewone Aandelen 36.66611.09828.1089.1368.2767.1835.8534.273.3693.0792.3391.9481.9571.9572.0441.94214.38612.4077.0613.2356.4282.27128.8663.6882.9171.42.12.40.934.332.2
Terugkoop van Gewone Aandelen 0-4.709-1.925-6.145-103.451-364.997-1.115-135.433-457.894-237.306-0.572-15.009-203.285-739.638-12.706-9.769-269.251-89.579-8.8730-10.723-20.447000000000
Uitgekeerde Dividenden 0000000000000000000000000000000
Overige Financieringsactiviteiten -6.55898.88210.33845.194172.277-12.4943.109-104.245688.2371,407.162-1.25181.563281.356815.68811.92810.80825.1881.7872.3171.791-0.091-0.33-0.303-7.8420.734-0.6-1.3-1.2-0.5-0.4-7.7
Kasstroom uit Financieringsactiviteiten 19.27366.615-382.69340.922-27.414-370.304-182.038-106.975-448.496120.362-76.823-65.891-114.873-354.0751.266-17.64-229.677-75.3850.5053.235-4.387-18.507128.563-4.1553.6510.80.81.20.433.924.5
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 034.383-15.7044.1952.136-8.276-0.1354.959-11.289-6.1791.369-1.895-0.611.4440.849-2.058-0.4530.668-0.4920.1540.0950000000000
Netto Kasstroomverandering 556.716-426.841335.976570.542291.399-88.20164.4254.251-300.163297.34495.037-76.48166.103-194.179105.497123.737-68.667-28.225-125.958246.82861.574-15.944117.4453.08-24.88321.3-11.914.7-0.7-4.116.1
Kaspositie aan het Einde van de Periode 1,514.111957.3951,384.2361,048.26477.718186.319274.52210.1155.849456.012158.66863.631140.11274.009268.188162.69138.95498.365126.59252.548178.32116.746132.6915.24512.1653715.827.713.113.817.9