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Real Time Chart
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Stock Profile
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Stock Fundamentals
Financials
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accounts Payable
0
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cash Change
2,114,183,000
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cash Flow
505,800,000
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cash Flow Financing
35,686,000
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changes In Inventories
44,999,000
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changes In Receivables
694,262,000
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common Stock
476,787,000
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cost Of Revenue
159,443,000
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currency
USD
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current Assets
3,001,030,000
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current Cash
2,114,183,000
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current Debt
20,900,000
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current Long Term Debt
20,900,000
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depreciation
37,226,000
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ebit
418,924,000
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ebitda
456,150,000
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filing Type
10-Q
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fiscal Date
2023-04-30
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fiscal Quarter
3
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fiscal Year
2023
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goodwill
406,640,000
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gross Profit
862,388,000
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income Tax
89,999,000
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intangible Assets
49,676,000
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interest Income
--17,878,000
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inventory
44,999,000
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long Term Debt
108,384,000
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long Term Investments
3,348,775,000
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minority Interest
0
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net Borrowings
--2,132,485,000
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net Income
350,431,000
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net Income Basic
350,431,000
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net Tangible Assets
5,136,106,000
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operating Expense
602,907,000
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operating Income
418,924,000
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operating Revenue
1,021,831,000
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other Assets
76,266,000
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other Current Assets
147,586,000
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other Current Liabilities
485,664,000
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other Income Expense Net
0
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other Liabilities
65,745,000
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pretax Income
440,430,000
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property Plant Equipment
2,710,933,000
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receivables
694,262,000
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report Date
2023-05-25
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research And Development
0
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retained Earnings
4,843,338,000
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revenue
1,021,831,000
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selling General And Admin
64,506,000
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shareholder Equity
5,592,422,000
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short Term Debt
20,900,000
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short Term Investments
147,586,000
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symbol
CPRT
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total Assets
6,349,805,000
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total Cash
2,114,183,000
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total Debt
129,284,000
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total Investing Cash Flows
--86,390,000
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total Liabilities
757,383,000
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total Revenue
1,021,831,000
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treasury Stock
0
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id
FINANCIALS
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key
CPRT
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subkey
quarterly
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date
2023-04-30
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updated
2023-05-30
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Symbol Info
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Symbol Over View
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Technical Analysis
CPRT stock fundamentals - financials