CPRT stock fundamentals - financials
Financials
- accounts Payable 0
- 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
- common Stock 476,787,000
- cost Of Revenue 159,443,000
- currency USD
- current Assets 3,001,030,000
- current Cash 2,114,183,000
- current Debt 20,900,000
- current Long Term Debt 20,900,000
- depreciation 37,226,000
- ebit 418,924,000
- ebitda 456,150,000
- filing Type 10-Q
- fiscal Date 2023-04-30
- fiscal Quarter 3
- fiscal Year 2023
- goodwill 406,640,000
- gross Profit 862,388,000
- income Tax 89,999,000
- intangible Assets 49,676,000
- interest Income --17,878,000
- inventory 44,999,000
- long Term Debt 108,384,000
- long Term Investments 3,348,775,000
- minority Interest 0
- net Borrowings --2,132,485,000
- net Income 350,431,000
- net Income Basic 350,431,000
- net Tangible Assets 5,136,106,000
- operating Expense 602,907,000
- operating Income 418,924,000
- operating Revenue 1,021,831,000
- other Assets 76,266,000
- other Current Assets 147,586,000
- other Current Liabilities 485,664,000
- other Income Expense Net 0
- other Liabilities 65,745,000
- pretax Income 440,430,000
- property Plant Equipment 2,710,933,000
- receivables 694,262,000
- report Date 2023-05-25
- research And Development 0
- retained Earnings 4,843,338,000
- revenue 1,021,831,000
- selling General And Admin 64,506,000
- shareholder Equity 5,592,422,000
- short Term Debt 20,900,000
- short Term Investments 147,586,000
- symbol CPRT
- total Assets 6,349,805,000
- total Cash 2,114,183,000
- total Debt 129,284,000
- total Investing Cash Flows --86,390,000
- total Liabilities 757,383,000
- total Revenue 1,021,831,000
- treasury Stock 0
- id FINANCIALS
- key CPRT
- subkey quarterly
- date 2023-04-30
- updated 2023-05-30
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