CARMAX INCKMX

Market cap
$6.3B
P/E ratio
Feb 28,
2011
Feb 29,
2012
Feb 28,
2013
Feb 28,
2014
Feb 28,
2015
Feb 29,
2016
Feb 28,
2017
Feb 28,
2018
Feb 28,
2019
Feb 29,
2020
Feb 28,
2021
Feb 28,
2022
Feb 28,
2023
Feb 29,
2024
Feb 28,
2025
Net earnings3814144344935976236276648428887471,151485479501
Depreciation and amortization598395-115137169180182216242273265260295
Share-based compensation expense444862-825192627510912210986120135
Provision for loan losses283656-82101151138154186161142317311335
Provision for cancellation reserves----71776463648972115988098
Deferred income tax benefit19-14-17-4172812-1-3615-7-5-24
Other-13-2--4-13-4-1-3-4119-5-9-21
Accounts receivable, net41-336-58-620-1975144288-262-78-32
Inventory20643425-445-1553291301293273231,967-1,398-48257
Other current assets--3-17-15335-3320081-103-40-109
Auto loans receivable, net--992-1,3701,2031,2101,0771,0471,3093011,9421,369981566
Other assets----------41332521419
Increase (Decrease) in Accounts Payable and Accrued Liabilities-943-1-52-5562388685107175-19811972
Other liabilities1-12-4--78-87-77-82-90-110-65-200-110-86-107
Net Cash Provided by (Used in) Operating Activities-17-62--------237668-2,5491,283459624
Capital expenditures77173236-310316418297305332165309423465468
Proceeds from disposal of property and equipment00--62101020510
Proceeds from Sales of Business, Affiliate and Productive Assets----------3012---
Payments to Acquire Investments-------965942513611
Proceeds from Sale and Maturity of Other Investments-------2228384317
Payments to Acquire Businesses, Net of Cash Acquired------------242---
Net Cash Provided by (Used in) Investing Activities-72-219--------389-128-524-426-467-461
(Decrease) increase in short-term debt, net0-0-1-0-0-001-1-0----
Proceeds from issuances of long-term debt----9852,0572,9754,2034,3156,2781,7547,6843,021135523
Payments on long-term debt----6751,6522,7354,1614,1476,2002,2175,7534,275246837
Cash paid for debt issuance costs----13171617201820202221
Finance Lease, Principal Payments---------4712121717
Issuances of non-recourse notes payable--5,851-7,7839,5549,61010,19910,89311,78610,80614,32814,33412,38012,968
Payments on non-recourse notes payable--4,680-6,5618,4978,3959,29710,00210,70910,65412,62613,44111,87312,716
Repurchase and retirement of common stock--203-91798456458090556823057633494428
Equity issuances381663-824760745812414380174574
Net Cash Provided by (Used in) Financing Activities112683-------687-4243,105-710308-454
(Decrease) increase in cash, cash equivalents, and restricted cash--------406111632147299-290