Karooooo Ltd.

NASDAQ:KARO

39.56 (USD) • At close November 7, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

202420232022202120202019
Revenue 4,205.5113,507.0672,746.1512,290.5431,941.8931,692.708
Cost of Revenue 1,514.6741,234.672922.561670.523574.77484.7
Gross Profit 2,690.8372,272.3951,823.591,620.021,367.1231,208.008
Gross Profit Ratio 0.640.6480.6640.7070.7040.714
Reseach & Development Expenses 212.235177.024149.238100.13844.92448.284
General & Administrative Expenses 837.606704.603555.327476.534460.402443.562
Selling & Marketing Expenses 500.903431.14333.259238.11177.87177.351
SG&A 1,338.5091,135.743888.586714.644638.272620.913
Other Expenses 97.59177.71386.64178.67653.00538.892
Operating Expenses 1,648.3351,390.481,124.465893.458736.201708.089
Operating Income 1,042.502881.915197.561306.558630.922499.919
Operating Income Ratio 0.2480.2510.0720.1340.3250.295
Total Other Income Expenses Net -0.38812.189484.522389.49-14.239-28.689
Income Before Tax 1,065.71894.104682.083696.048616.683471.23
Income Before Tax Ratio 0.2530.2550.2480.3040.3180.278
Income Tax Expense 311.554285.298205.476198.628173.157110.182
Net Income 738.191597.153449.953497.42443.526236.93
Net Income Ratio 0.1760.170.1640.2170.2280.14
EPS 23.8519.2915.2421.7921.8111.65
EPS Diluted 23.8519.2915.2421.7921.8111.65
EBITDA 1,811.256905.17694.92705.35929.276741.183
EBITDA Ratio 0.4310.2580.2530.3080.4790.438