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KMX CarMax Group

72.87
-0.11 (-0.15%)
Last Updated: 17:56:38
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Quarter End May 2022Aug 2022Nov 2022Feb 2023May 2023Aug 2023Nov 2023Feb 2024
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 26.34B26.47B25.94B26.18B26.96B27.3B27.17B27.2B
Total Current Assets 6.12B5.87B4.98B5.04B5.36B5.39B5.11B5.23B
Cash and Equivalents 95.31M56.77M688.62M314.76M264.25M521.1M605.38M574.14M
Total Non-Current Assets 23.48B23.91B24.33B24.57B25.1B25.45B25.69B25.64B
Total Liabilities 20.94B21.06B20.45B20.57B21.14B21.29B21.13B21.12B
Total Current Liabilities 2.25B2.13B1.94B1.94B2.11B2.32B2.08B2.31B
Total Non-Current Liabilities 36.63B37.13B36.32B36.57B37.36B37.26B37.41B36.97B
Common Equity 79.81M79.02M79.01M79.04M79.11M79.33M79.01M78.81M
Retained Earnings 3.64B3.62B3.65B3.72B3.95B4.07B4.12B4.13B
Year End 29 February 2024 20172018201920202021202220232024
USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)USD (US$)
Total Assets 16.28B17.49B18.72B21.08B21.54B26.34B26.18B27.2B
Total Current Assets 2.87B3.06B3.21B3.66B4.12B6.55B5.04B5.23B
Cash and Equivalents 38.42M44.53M46.94M58.21M132.32M102.72M314.76M574.14M
Total Non-Current Assets 3.11B3.32B3.36B3.77B4.36B5.24B5.61B6.07B
Total Liabilities 13.17B14.17B15.36B17.31B17.18B21.1B20.57B21.12B
Total Current Liabilities 1.11B1.17B1.31B1.53B1.7B2.05B1.94B2.31B
Total Non-Current Liabilities 23.89B25.75B27.86B30.8B30.22B37.38B36.57B36.97B
Total Equity 3.11B3.32B3.36B3.77B4.36B5.24B5.61B6.07B
Common Equity 93.27M89.87M83.74M81.54M81.59M80.53M79.04M78.81M
Retained Earnings 1.88B2.05B2.1B2.49B2.89B3.52B3.72B4.13B

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