US Stock MarketDetailed Quotes

KMX CarMax

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  • 73.090
  • -1.100-1.48%
Close Oct 4 16:00 ET
  • 72.547
  • -0.543-0.74%
Post 20:02 ET
11.32BMarket Cap27.48P/E (TTM)

CarMax Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 31, 2024
(Q1)May 31, 2024
(FY)Feb 29, 2024
(Q4)Feb 29, 2024
(Q3)Nov 30, 2023
(Q2)Aug 31, 2023
(Q1)May 31, 2023
(FY)Feb 28, 2023
(Q4)Feb 28, 2023
(Q3)Nov 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
398.61%619.1M
36.48%-117.69M
-64.26%458.62M
181.75%309.64M
-82.23%210.1M
341.74%124.17M
-134.90%-185.29M
150.34%1.28B
18.86%-378.75M
269.58%1.18B
Net income from continuing operations
11.95%132.81M
-33.23%152.44M
-1.15%479.2M
-27.16%50.27M
118.21%82M
-5.77%118.64M
-9.50%228.3M
-57.89%484.76M
-56.82%69.01M
-86.05%37.58M
Depreciation and amortization
13.67%72.72M
9.91%69.24M
-1.81%260.41M
6.90%66.89M
2.79%66.56M
-5.13%63.97M
-10.61%63M
-2.92%265.22M
-13.54%62.57M
-9.46%64.75M
Deferred tax
44.95%-9.75M
71.43%-2.04M
26.72%-4.8M
637.28%23.49M
-15.68%-3.45M
-64.65%-17.72M
-161.65%-7.13M
-143.67%-6.55M
4.21%-4.37M
76.98%-2.98M
Other non cash items
-156.73%-506K
-14.48%2.55M
93.84%9.25M
117.49%718K
659.47%4.67M
-79.59%892K
-44.29%2.98M
124.94%4.77M
-153.54%-4.11M
87.96%-834K
Change In working capital
235.62%251.7M
19.59%-493.55M
-2,415.23%-796M
107.79%49.75M
-104.83%-46.38M
49.27%-185.59M
-873.90%-613.77M
100.79%34.38M
18.11%-638.73M
182.76%959.66M
-Change in receivables
7.36%-273.58M
35.05%-328.92M
18.43%-902.94M
95.91%-10.26M
56.60%-90.95M
-89.34%-295.32M
-3.27%-506.4M
50.36%-1.11B
-43.65%-250.99M
66.90%-209.59M
-Change in inventory
55.06%375.14M
73.30%-94.82M
-96.56%48.07M
87.43%-39.12M
-84.06%200.34M
1,147.08%241.93M
-181.91%-355.08M
171.08%1.4B
33.09%-311.21M
326.84%1.26B
-Change in payables and accrued expense
192.47%98.68M
-131.43%-75.21M
159.95%118.51M
7,161.82%178.88M
-60.55%-192.93M
40.86%-106.71M
126.92%239.28M
-212.90%-197.69M
-154.68%-2.53M
-318.76%-120.17M
-Change in other current assets
1,619.98%72.87M
-7.84%29.08M
-48.88%26.04M
-2.97%-56.98M
-4.31%56.26M
55.10%-4.79M
-45.74%31.56M
145.05%50.94M
31.80%-55.34M
1,261.83%58.79M
-Change in other current liabilities
-3.42%-21.41M
-2.45%-23.69M
22.39%-85.68M
-22.01%-22.76M
26.90%-19.1M
45.79%-20.7M
15.70%-23.13M
44.93%-110.39M
70.70%-18.65M
17.52%-26.12M
Cash from discontinued investing activities
Operating cash flow
398.61%619.1M
36.48%-117.69M
-64.26%458.62M
181.75%309.64M
-82.23%210.1M
341.74%124.17M
-134.90%-185.29M
150.34%1.28B
18.86%-378.75M
269.58%1.18B
Investing cash flow
Cash flow from continuing investing activities
-46.14%-109.59M
22.59%-105.87M
-9.68%-467M
-2.49%-109.78M
-30.66%-145.47M
30.74%-74.99M
-38.09%-136.76M
18.71%-425.77M
-17.63%-107.11M
-112.29%-111.34M
Capital expenditure reported
-48.69%-109.21M
23.99%-103.91M
-10.08%-465.31M
-6.43%-109.87M
-26.30%-145.28M
33.02%-73.45M
-44.21%-136.72M
-37.01%-422.71M
-26.45%-103.22M
-29.15%-115.02M
Net PPE purchase and sale
69.74%129K
-99.91%1K
-73.97%1.35M
-96.24%52K
-98.60%52K
-9.52%76K
--1.17M
1,896.15%5.19M
--1.38M
--3.72M
Net business purchase and sale
----
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--0
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--0
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Net investment purchase and sale
68.33%-513K
-61.60%-1.96M
63.11%-3.04M
100.70%37K
-552.63%-248K
-225.19%-1.62M
71.37%-1.21M
-159.78%-8.25M
44.18%-5.27M
-100.15%-38K
Cash from discontinued investing activities
Investing cash flow
-46.14%-109.59M
22.59%-105.87M
-9.68%-467M
-2.49%-109.78M
-30.66%-145.47M
30.74%-74.99M
-38.09%-136.76M
18.71%-425.77M
-17.63%-107.11M
-112.29%-111.34M
Financing cash flow
Cash flow from continuing financing activities
-171.01%-170.68M
-136.66%-112.38M
143.34%307.79M
-279.35%-209.53M
94.13%-29.65M
81.10%240.37M
167.39%306.6M
-122.87%-710.18M
-80.43%116.83M
-168.33%-504.78M
Net issuance payments of debt
-135.73%-79M
-102.58%-8.08M
201.39%378.74M
-242.68%-170.01M
102.95%14.53M
-24.13%221.08M
207.43%313.15M
-110.31%-373.56M
-82.97%119.15M
-158.10%-492.61M
Net common stock issuance
-420.39%-84.37M
-3,252.86%-98.64M
84.43%-49.32M
-1,064.07%-33.46M
-365.91%-39.25M
117.28%26.33M
98.16%-2.94M
36.21%-316.84M
103.58%3.47M
91.92%-8.42M
Net other financing activities
-3.91%-7.32M
-57.10%-5.67M
-9.36%-21.63M
-4.54%-6.06M
-31.47%-4.93M
-11.78%-7.04M
8.43%-3.61M
1.74%-19.78M
-2.39%-5.79M
23.93%-3.75M
Cash from discontinued financing activities
Financing cash flow
-171.01%-170.68M
-136.66%-112.38M
143.34%307.79M
-279.35%-209.53M
94.13%-29.65M
81.10%240.37M
167.39%306.6M
-122.87%-710.18M
-80.43%116.83M
-168.33%-504.78M
Net cash flow
Beginning cash position
-2.25%914.47M
31.48%1.25B
18.34%951M
-4.54%1.26B
62.55%1.23B
19.85%935.56M
18.34%951M
4.10%803.62M
72.65%1.32B
-2.82%753.66M
Current changes in cash
17.02%338.83M
-2,074.53%-335.94M
103.14%299.41M
97.38%-9.67M
-93.82%34.98M
1,175.88%289.54M
32.96%-15.45M
365.37%147.39M
-1,044.82%-369.03M
5,246.48%566.37M
End cash Position
2.30%1.25B
-2.25%914.47M
31.48%1.25B
31.48%1.25B
-4.54%1.26B
62.55%1.23B
19.85%935.56M
18.34%951M
18.34%951M
72.65%1.32B
Free cash flow
905.37%509.89M
31.18%-221.6M
-100.78%-6.69M
141.45%199.77M
-93.93%64.82M
131.50%50.72M
-173.83%-322M
130.11%860.62M
12.12%-481.97M
235.74%1.07B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Aug 31, 2024(Q1)May 31, 2024(FY)Feb 29, 2024(Q4)Feb 29, 2024(Q3)Nov 30, 2023(Q2)Aug 31, 2023(Q1)May 31, 2023(FY)Feb 28, 2023(Q4)Feb 28, 2023(Q3)Nov 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 398.61%619.1M36.48%-117.69M-64.26%458.62M181.75%309.64M-82.23%210.1M341.74%124.17M-134.90%-185.29M150.34%1.28B18.86%-378.75M269.58%1.18B
Net income from continuing operations 11.95%132.81M-33.23%152.44M-1.15%479.2M-27.16%50.27M118.21%82M-5.77%118.64M-9.50%228.3M-57.89%484.76M-56.82%69.01M-86.05%37.58M
Depreciation and amortization 13.67%72.72M9.91%69.24M-1.81%260.41M6.90%66.89M2.79%66.56M-5.13%63.97M-10.61%63M-2.92%265.22M-13.54%62.57M-9.46%64.75M
Deferred tax 44.95%-9.75M71.43%-2.04M26.72%-4.8M637.28%23.49M-15.68%-3.45M-64.65%-17.72M-161.65%-7.13M-143.67%-6.55M4.21%-4.37M76.98%-2.98M
Other non cash items -156.73%-506K-14.48%2.55M93.84%9.25M117.49%718K659.47%4.67M-79.59%892K-44.29%2.98M124.94%4.77M-153.54%-4.11M87.96%-834K
Change In working capital 235.62%251.7M19.59%-493.55M-2,415.23%-796M107.79%49.75M-104.83%-46.38M49.27%-185.59M-873.90%-613.77M100.79%34.38M18.11%-638.73M182.76%959.66M
-Change in receivables 7.36%-273.58M35.05%-328.92M18.43%-902.94M95.91%-10.26M56.60%-90.95M-89.34%-295.32M-3.27%-506.4M50.36%-1.11B-43.65%-250.99M66.90%-209.59M
-Change in inventory 55.06%375.14M73.30%-94.82M-96.56%48.07M87.43%-39.12M-84.06%200.34M1,147.08%241.93M-181.91%-355.08M171.08%1.4B33.09%-311.21M326.84%1.26B
-Change in payables and accrued expense 192.47%98.68M-131.43%-75.21M159.95%118.51M7,161.82%178.88M-60.55%-192.93M40.86%-106.71M126.92%239.28M-212.90%-197.69M-154.68%-2.53M-318.76%-120.17M
-Change in other current assets 1,619.98%72.87M-7.84%29.08M-48.88%26.04M-2.97%-56.98M-4.31%56.26M55.10%-4.79M-45.74%31.56M145.05%50.94M31.80%-55.34M1,261.83%58.79M
-Change in other current liabilities -3.42%-21.41M-2.45%-23.69M22.39%-85.68M-22.01%-22.76M26.90%-19.1M45.79%-20.7M15.70%-23.13M44.93%-110.39M70.70%-18.65M17.52%-26.12M
Cash from discontinued investing activities
Operating cash flow 398.61%619.1M36.48%-117.69M-64.26%458.62M181.75%309.64M-82.23%210.1M341.74%124.17M-134.90%-185.29M150.34%1.28B18.86%-378.75M269.58%1.18B
Investing cash flow
Cash flow from continuing investing activities -46.14%-109.59M22.59%-105.87M-9.68%-467M-2.49%-109.78M-30.66%-145.47M30.74%-74.99M-38.09%-136.76M18.71%-425.77M-17.63%-107.11M-112.29%-111.34M
Capital expenditure reported -48.69%-109.21M23.99%-103.91M-10.08%-465.31M-6.43%-109.87M-26.30%-145.28M33.02%-73.45M-44.21%-136.72M-37.01%-422.71M-26.45%-103.22M-29.15%-115.02M
Net PPE purchase and sale 69.74%129K-99.91%1K-73.97%1.35M-96.24%52K-98.60%52K-9.52%76K--1.17M1,896.15%5.19M--1.38M--3.72M
Net business purchase and sale ----------0------------------0--------
Net investment purchase and sale 68.33%-513K-61.60%-1.96M63.11%-3.04M100.70%37K-552.63%-248K-225.19%-1.62M71.37%-1.21M-159.78%-8.25M44.18%-5.27M-100.15%-38K
Cash from discontinued investing activities
Investing cash flow -46.14%-109.59M22.59%-105.87M-9.68%-467M-2.49%-109.78M-30.66%-145.47M30.74%-74.99M-38.09%-136.76M18.71%-425.77M-17.63%-107.11M-112.29%-111.34M
Financing cash flow
Cash flow from continuing financing activities -171.01%-170.68M-136.66%-112.38M143.34%307.79M-279.35%-209.53M94.13%-29.65M81.10%240.37M167.39%306.6M-122.87%-710.18M-80.43%116.83M-168.33%-504.78M
Net issuance payments of debt -135.73%-79M-102.58%-8.08M201.39%378.74M-242.68%-170.01M102.95%14.53M-24.13%221.08M207.43%313.15M-110.31%-373.56M-82.97%119.15M-158.10%-492.61M
Net common stock issuance -420.39%-84.37M-3,252.86%-98.64M84.43%-49.32M-1,064.07%-33.46M-365.91%-39.25M117.28%26.33M98.16%-2.94M36.21%-316.84M103.58%3.47M91.92%-8.42M
Net other financing activities -3.91%-7.32M-57.10%-5.67M-9.36%-21.63M-4.54%-6.06M-31.47%-4.93M-11.78%-7.04M8.43%-3.61M1.74%-19.78M-2.39%-5.79M23.93%-3.75M
Cash from discontinued financing activities
Financing cash flow -171.01%-170.68M-136.66%-112.38M143.34%307.79M-279.35%-209.53M94.13%-29.65M81.10%240.37M167.39%306.6M-122.87%-710.18M-80.43%116.83M-168.33%-504.78M
Net cash flow
Beginning cash position -2.25%914.47M31.48%1.25B18.34%951M-4.54%1.26B62.55%1.23B19.85%935.56M18.34%951M4.10%803.62M72.65%1.32B-2.82%753.66M
Current changes in cash 17.02%338.83M-2,074.53%-335.94M103.14%299.41M97.38%-9.67M-93.82%34.98M1,175.88%289.54M32.96%-15.45M365.37%147.39M-1,044.82%-369.03M5,246.48%566.37M
End cash Position 2.30%1.25B-2.25%914.47M31.48%1.25B31.48%1.25B-4.54%1.26B62.55%1.23B19.85%935.56M18.34%951M18.34%951M72.65%1.32B
Free cash flow 905.37%509.89M31.18%-221.6M-100.78%-6.69M141.45%199.77M-93.93%64.82M131.50%50.72M-173.83%-322M130.11%860.62M12.12%-481.97M235.74%1.07B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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