CPRT stock fundamentals - cash flow
Cash Flow
- capital Expenditures --89,805,000
- cash Change 2,114,183,000
- cash Flow 505,800,000
- cash Flow Financing 35,686,000
- changes In Inventories 44,999,000
- changes In Receivables 694,262,000
- currency USD
- depreciation 37,226,000
- filing Type 10-Q
- fiscal Date 2023-04-30
- fiscal Quarter 3
- fiscal Year 2023
- fiscal Year 2023
- net Borrowings --2,132,485,000
- net Income 350,431,000
- report Date 2023-05-25
- symbol CPRT
- total Investing Cash Flows --86,390,000
- id CASH_FLOW
- key CPRT
- subkey quarterly
- date 2023-04-30
- updated 2023-05-30
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