CarMax, Inc.

NYSE:KMX

77.39 (USD) • At close September 19, 2024
Overview | Financials

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

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Operationele Activiteiten:
Nettowinst 479.204484.7621,151.297746.919888.433842.413664.112626.97623.428597.358492.586434.284413.795380.878281.66859.213182.025198.597148.055112.928116.4594.80290.80245.5641.118-23.5-34.2-9.3
Afschrijvingen & Amortisatie 276.8265.224273.188242.156215.811182.247179.942168.875137.36115.173101.91195.28382.81259.42158.32854.74146.61534.55126.74620.25316.30314.9516.3418.11615.241104.61.7
Uitgestelde Inkomstenbelasting -4.8-6.5515-35.787-1.1022.381.0072.32417.237-4.299-17.1853.858-0.87219.39329.761-41.502-24.405-14.169-11.991-1.184-1.2988.883.1628.7581.22511.3-1.91.7
Aandelen Gebaseerde Vergoedingen 119.7285.592109.197121.899108.86175.01161.87991.59551.07781.8866.4862.11248.08943.60637.85835.43633.46731.8260000000000
Verandering in Werkkapitaal -79634.381-4,335.613-638.956-1,727.083-1,159.61-1,269.128-1,576.789-1,169.448-1,915.424-1,408.62-1,432.091-645.244-549.388-362.167145.975-159.586-118.984-39.751-85.77518.471-46.695-67.763-63.724-46.612-79.8-66-19.4
Vorderingen -902.939262.201-288.195-43.507-51.24-6.52919.067-20.2175.519-57.76712.038-5.52733.163-40.538-23.558-2.648-1.8155.2080000000000
Voorraden 48.0721,398.427-1,967.432-323.318-326.961-128.761-130.131-328.534154.845-445.45-123.611-425.221-43.115-206.344-139.976272.62-139.661-166.416-93.133-110.5060.389-67.366-51.947-62.745-39.909-55.8-58.9-23.9
Crediteuren 118.511-197.687175.106106.78885.44286.3638.28661.752-55.18751.96117.405-0.575-616.654-297.101-190.447-113.451-56.86835.7590000000000
Overig Werkkapitaal -59.644-1,428.56-2,255.092-378.919-1,434.324-1,110.68-1,196.35-1,289.79-1,274.625-1,464.167-1,414.452-1,000.768-18.638-5.405-8.186-10.54638.7586.46553.38224.73118.08220.671-15.816-0.979-6.703-24-7.14.5
Overige Niet-Contante Posten 383.693419.923237.481231.529278.474220.61201.638218.887191.453157.182151.66558.11339.25628.8920.37210.7281.4044.979-0.764-1.486-1.4620.030.19.0923.9350-0.1-0.1
Kasstroom uit Operationele Activiteiten 458.6171,283.332-2,549.45667.76-236.606162.971-80.55-468.138-148.893-968.13-613.163-778.441-62.164-17.19845.82264.59179.52136.8122.29544.736148.46471.96742.64117.806-25.093-82-86.1-25.4
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -465.307-422.71-308.534-164.536-331.896-304.636-296.816-418.144-315.584-309.817-310.317-235.707-172.616-76.58-22.434-185.7-253.106-191.76-194.433-230.08-181.338-122.032-41.417-10.834-45.395-179.9-234.3-90.4
Netto Overnames 1.3515.19-229.26529.911331.896304.6360.0971.2291.5420000-4.0010.44745.7410000000-1.325-34.849000
Aankoop van Beleggingen -6.193-12.526-24.614-3.729-59.05-6.147-8.649-6.724-11.463-12.418-5.712-33.895-3.3164.001-2.196-3.987-26.665-16.7650000000000
Verkoop/verval van Beleggingen 3.1514.2838.4088.3251.5791.5781.6920.730.3240.6550.46630.3180.0524.0012.221.66521.66516.7650000000000
Overige Investeringsactiviteiten -1.691-3.0560.261.846-331.893-303.944-23.111-41.435-52.072-39.164-21.118-15.99-43.5220.3670.662-33.0651.0894.56978.3488.999107.49341.62198.96515.50625.34139.4146.3-31.7
Kasstroom uit Investeringsactiviteiten -466.998-425.766-523.745-128.183-389.364-308.513-326.787-465.573-378.795-360.744-336.681-255.274-219.402-72.212-21.321-155.346-257.017-187.191-116.093-141.081-73.845-80.41157.5483.347-54.904-40.5-88-122.1
Financieringsactiviteiten:
Schuldaflossingen -357.107-17,728.156-18,391.027-12,878.74-16,912.508-14,158.324-13,466.42-11,140.777-10,165.201-7,254.058-5,533.242-4,694.082-4,472.132-3,526.354-792.981-781.966-6.55400000000000
Uitgifte van Gewone Aandelen 44.76617.09379.805143.148124.39758.1373.5259.86947.03882.4633963.39615.57738.27731.30710.16214.7335.4116.0353.5594.0140.57003.45642.4412.3
Terugkoop van Gewone Aandelen -94.086-333.932-576.478-229.938-567.747-904.726-579.57-564.337-983.941-916.981-307.248-203.405000000-0.8040000-0.1090000
Uitgekeerde Dividenden 000000000000000000000-28.4000000
Overige Financieringsactiviteiten -21.63317,334.81521,992.56625,101.31636,105.78430,398.94528,788.09325,164.24723,250.12817,585.35813,837.09811,724.9245,139.6583,600.33614.856790.191162.83112.676-6.79860.242-51.60567.603-105.705-22.22368.843109.827.7-96.5
Kasstroom uit Financieringsactiviteiten 307.787-710.183,104.866-424.02686.983186.021413.446934.733537.476728.5791,128.3811,040.421683.103112.253-146.81818.387171.00748.087-1.56763.801-47.59139.773-105.705-22.33272.299113.830.1315.8
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -4.263000000000000000000000000122.5174.1147.5
Netto Kasstroomverandering 295.143147.38631.671115.55761.01340.4796.1091.0229.788-600.295178.5376.706401.53722.843-122.319127.632-6.49-2.3044.635-32.54427.02831.329-5.516-1.179-7.698113.830.1315.8
Kaspositie aan het Einde van de Periode 1,080.79951.004803.618771.947656.39595.37744.52538.41637.39427.606627.901449.364442.65841.12118.278140.59712.96519.45521.75929.09961.64334.6153.2868.8029.981140.2200.5318