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Asset logo for symbol KARO
Karooooo Ltd.
KARO69
$53.00arrow_drop_up0.07%$0.03
High Quality
Asset logo for symbol KARO
KARO69

$53.00

arrow_drop_up0.07%

Income Statement (KARO)

itemNov 2024Aug 2024May 2024Feb 2024Nov 2023
EBIT$325.17M$302.19M$302.19M$335.28M$151.76M
EBITDA$334.40M$300.43M$300.43M$502.27M$304.93M
gross Profit$808.03M$778.66M$778.66M$747.40M$716.45M
NET Income$237.26M$211.54M$211.54M$221.58M$210.69M
total Revenue$1.15B$1.10B$1.10B$1.08B$1.08B

Balance Sheet (KARO)

itemNov 2024Aug 2024May 2024Feb 2024Nov 2023
cash Equivalents-----
net Debt-$343.98M-$178.63M-$382.99M-$716.89M-$192.72M
stockholders Equity$2.91B$2.66B$2.66B$3.11B$2.96B
total Assets$4.78B$4.35B$4.35B$4.56B$4.30B
total Debt$577.75M$528.18M$323.82M$279.15M$266.80M
total Liabilities$1.82B$1.64B$1.64B$1.40B$1.30B

Cash Flow (KARO)

itemNov 2024Aug 2024May 2024Feb 2024Nov 2023
financing Cash Flow$12.43M-$388.72M-$388.72M-$38.09M-$39.10M
free Cash Flow$442.42M$394.12M$394.12M$568.96M-$1.00B
investing Cash Flow-----
operating Cash Flow$442.42M$394.12M$394.12M$836.23M-$131.88M

Karooooo Ltd. (KARO) Financials

Karooooo Ltd. (KARO) is a company that operates in the financial services industry. The company's financials provide important information about its performance and financial health. The income statement shows the company's revenue, expenses, and net income. It provides a snapshot of the company's profitability. The ebit (earnings before interest and taxes) is a measure of the company's operating performance. It takes into account the company's revenue and expenses, excluding interest and taxes. The ebitda (earnings before interest, taxes, depreciation, and amortization) is a similar measure, but it also excludes depreciation and amortization expenses.
The gross profit is the difference between the company's revenue and its cost of goods sold. It measures the profitability of the company's core operations. The net income from stockholders refers to the profit or loss that is attributable to the company's stockholders. It takes into account any dividends paid to stockholders. The total revenue is the sum of all the company's revenue from its various business activities. It provides an overall picture of the company's revenue generation. The balance sheet provides a snapshot of the company's financial position at a specific point in time. It shows the company's assets, liabilities, and stockholders' equity. The cash equivalents refer to highly liquid assets that can be readily converted into cash. They include cash on hand and short-term investments. The net debt is the difference between a company's total debt and its cash and cash equivalents. It represents the company's overall debt burden. The stockholders' equity is the residual interest in the company's assets after deducting its liabilities. It represents the company's net worth. The total assets are the company's economic resources, including its cash, investments, and property. The total debt is the sum of all the company's short-term and long-term debt obligations. It represents the company's borrowing capacity. The total liabilities are the company's obligations that must be settled in the future. They include both short-term and long-term liabilities.
The cash flow statement shows how the company's cash position changed over a specific period. It includes information about the company's operating cash flow, investing cash flow, and financing cash flow. The operating cash flow represents the cash generated from the company's core operations. It reflects the company's ability to generate cash from its day-to-day activities. The investing cash flow represents the cash used for investing activities, such as purchasing or selling assets. It provides insights into the company's capital expenditures and acquisitions. The financing cash flow represents the cash flows related to the company's financing activities, such as issuing or repurchasing shares, or borrowing or repaying debts. It shows the company's financing decisions and the impact on its cash position. The free cash flow is the cash flow available to the company after deducting its capital expenditures. It represents the cash that can be used for growth, dividends, or debt reduction.
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