CPRT
Copart, Inc.
29.20
10 x 26.75
14 x 31.32
bid
ask
+
0.41
1.41%
11:24 AM
timesize
Ytd-25.43%
1y-40.52%
28.55
day range
29.20
28.10
52 week range
49.97
Open29.03Prev Close28.79Low28.55High29.20Mkt Cap27.02B
Vol3.10MAvg Vol10.37MEPS1.61P/E18.13Forward P/E17.05
Beta1.00Short Ratio3.47Inst. Own87.20%DividendN/ADiv YieldN/A
Ex Div DateN/AEarning05-2150-d Avg31.99200-d Avg37.621yr Est41.20
Income Statement
Total Revenue1.24B
Revenues (USD)1.24B
Cost of Revenue664.47M
Gross Profit572.60M
Operating Expenses108.32M
Selling, General and Administrative Expense108.32M
Operating Income464.28M
Income Tax Expense100.70M
Net Income402.40M
Net Income Common Stock402.40M
Net Income Common Stock (USD)402.40M
Consolidated Income401.39M
Net Income to Non-Controlling Interests-1.01M
Earnings per Basic Share0.43
Earnings per Basic Share (USD)0.43
Earnings per Diluted Share0.43
Earning Before Interest & Taxes (EBIT)503.10M
Earning Before Interest & Taxes (USD)503.10M
Weighted Average Shares936.29M
Weighted Average Shares Diluted942.77M
Balance Sheet
Cash and Equivalents3.35B
Cash and Equivalents (USD)3.35B
Investments845.57M
Investments Current845.57M
Trade and Non-Trade Receivables794.47M
Current Assets5.22B
Property, Plant & Equipment Net3.80B
Total Assets9.65B
Debt Current15.83M
Total Debt93.12M
Current Liabilities685.26M
Debt Non-Current77.29M
Total Liabilities857.59M
Accumulated Retained Earnings (Deficit)7.65B
Accumulated Other Comprehensive Income-87.21M
Shareholders Equity8.77B
Shareholders Equity (USD)8.77B
Assets Non-Current4.43B
Total Debt (USD)93.12M
Deferred Revenue33.49M
Goodwill and Intangible Assets576.65M
Inventory49.63M
Liabilities Non-Current172.33M
Trade and Non-Trade Payables598.29M
Tax Assets721.00K
Tax Liabilities132.69M
Cash Flow
Depreciation, Amortization & Accretion59.09M
Net Cash Flow from Financing-1.41B
Net Cash Flow / Change in Cash & Cash Equivalents-1.75B
Capital Expenditure-79.53M
Net Cash Flow - Business Acquisitions and Disposals-53.00K
Issuance (Purchase) of Equity Shares-1.41B
Issuance (Repayment) of Debt Securities -5.00K
Net Cash Flow from Investing-925.15M
Net Cash Flow - Investment Acquisitions and Disposals-845.57M
Net Cash Flow from Operations584.20M
Effect of Exchange Rate Changes on Cash 3.12M
Share Based Compensation9.46M