-
Real Time Chart
-
Stock Profile
-
Stock Fundamentals
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
-
Symbol Info
-
Symbol Over View
-
Technical Analysis
CPRT stock fundamentals - cash flow