Balance Sheet - AUTOZONE INC (AZO)
$ (Billion, Million)| Aug-25 | Aug-24 | Aug-23 | Aug-22 | Aug-21 | Aug-20 | Aug-19 | Aug-18 | Aug-17 | Aug-16 | Aug-15 | Aug-14 | Aug-13 | Aug-12 | Aug-11 | Aug-10 | Aug-09 | Aug-08 | Aug-07 | Aug-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 290.46 | 336.60 | 316.69 | 314.15 | 1,217.34 | 1,826.93 | 244.26 | 277.27 | 311.84 | 197.06 | 184.10 | 134.89 | 158.60 | 125.61 | 109.48 | 114.58 | 92.71 | 242.46 | 91.85 | 99.56 |
| Accounts receivable, net | 670.14 | 545.58 | 520.39 | 504.89 | 378.39 | 364.77 | 309.00 | 258.14 | 280.73 | 287.68 | 247.87 | 200.90 | 171.64 | 161.38 | 140.69 | 125.80 | 126.51 | 71.24 | 59.88 | 80.36 |
| Inventories | 7,025.69 | 6,155.22 | 5,764.14 | 5,638.00 | 4,639.81 | 4,473.28 | 4,319.11 | 3,943.67 | 3,882.09 | 3,631.92 | 3,421.64 | 3,140.10 | 2,861.01 | 2,627.98 | 2,466.11 | 2,304.58 | 2,207.50 | 2,150.11 | 2,007.43 | 1,846.65 |
| Other current assets | 373.75 | 307.79 | 217.84 | 220.71 | 225.76 | 223.00 | 224.28 | 216.24 | 155.17 | 130.24 | 125.48 | 115.13 | 103.17 | 86.50 | 228.71 | 83.16 | 135.01 | 122.49 | 116.50 | 100.36 |
| Total current assets | 8,341.38 | 7,306.76 | 6,779.43 | 6,627.98 | 6,415.30 | 6,811.87 | 5,028.69 | 4,635.87 | 4,611.26 | 4,239.57 | 3,970.29 | 3,580.61 | 3,278.01 | 2,978.95 | 2,792.43 | 2,611.82 | 2,561.73 | 2,586.30 | 2,270.46 | 2,118.93 |
| Total non-current assets | 11,013.95 | 9,869.78 | 9,206.45 | 8,647.06 | 8,100.90 | 7,612.00 | 4,867.23 | 4,711.11 | 4,648.53 | 4,360.21 | 4,136.88 | 3,937.25 | 3,614.08 | 3,286.69 | 3,077.18 | 2,959.77 | 2,756.68 | 2,670.81 | 2,534.25 | 2,407.38 |
| Total assets | 19,355.32 | 17,176.54 | 15,985.88 | 15,275.04 | 14,516.20 | 14,423.87 | 9,895.91 | 9,346.98 | 9,259.78 | 8,599.79 | 8,107.17 | 7,517.86 | 6,892.09 | 6,265.64 | 5,869.60 | 5,571.59 | 5,318.41 | 5,257.11 | 4,804.71 | 4,526.31 |
| Total current liabilities | 9,519.40 | 8,714.24 | 8,511.86 | 8,588.39 | 7,369.75 | 6,283.09 | 5,512.14 | 5,028.68 | 4,766.30 | 4,690.32 | 4,713.89 | 4,541.09 | 4,169.15 | 3,655.59 | 3,430.90 | 3,063.96 | 2,706.75 | 2,519.32 | 2,285.89 | 2,054.57 |
| Total non-current liabilities | 13,250.24 | 13,211.91 | 11,823.92 | 10,225.56 | 8,943.98 | 9,018.76 | 6,097.62 | 5,838.65 | 5,921.86 | 5,697.01 | 5,090.87 | 4,577.93 | 4,410.26 | 4,158.07 | 3,692.94 | 3,246.40 | 3,044.73 | 2,508.11 | 2,115.62 | 2,002.21 |
| Total liabilities | 22,769.64 | 21,926.15 | 20,335.77 | 18,813.96 | 16,313.74 | 15,301.85 | 11,609.76 | 10,867.34 | 10,688.16 | 10,387.33 | 9,803.74 | 9,119.02 | 8,579.41 | 7,813.66 | 7,123.83 | 6,310.36 | 5,751.48 | 5,027.43 | 4,401.51 | 4,056.78 |
| Total stockholders' equity | -3,414.31 | -4,749.61 | -4,349.89 | -3,538.91 | -1,797.54 | -877.98 | -1,713.85 | -1,520.36 | -1,428.38 | -1,787.54 | -1,701.39 | -1,621.86 | -1,687.32 | -1,548.03 | -1,254.23 | -738.77 | -433.07 | 229.69 | 403.20 | 469.53 |
| Common shares outstanding | 17 | 18 | 19 | 21 | 23 | 24 | 25 | 27 | 29 | 30 | 32 | 34 | 37 | 40 | 44 | 49 | 56 | 64 | 70 | 76 |
Show Quarterly Balance Sheet
Balance Sheet - AUTOZONE INC (AZO)
$ (Billion, Million)| Feb-26 | Nov-25 | Aug-25 | May-25 | Feb-25 | Nov-24 | Aug-24 | May-24 | Feb-24 | Nov-23 | Aug-23 | May-23 | Feb-23 | Nov-22 | Aug-22 | May-22 | Feb-22 | Nov-21 | Aug-21 | May-21 | Feb-21 | Nov-20 | Aug-20 | May-20 | Feb-20 | Nov-19 | Aug-19 | May-19 | Feb-19 | Nov-18 | Aug-18 | May-18 | Feb-18 | Nov-17 | Aug-17 | May-17 | Feb-17 | Nov-16 | Aug-16 | May-16 | Feb-16 | Nov-15 | Aug-15 | May-15 | Feb-15 | Nov-14 | Aug-14 | May-14 | Feb-14 | Nov-13 | Aug-13 | May-13 | Feb-13 | Nov-12 | Aug-12 | May-12 | Feb-12 | Nov-11 | Aug-11 | May-11 | Feb-11 | Nov-10 | Aug-10 | May-10 | Feb-10 | Nov-09 | Aug-09 | May-09 | Feb-09 | Nov-08 | Aug-08 | May-08 | Feb-08 | Nov-07 | Aug-07 | May-07 | Feb-07 | Nov-06 | Aug-06 | May-06 | Feb-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 282.22 | 309.35 | 290.46 | 287.62 | 329.72 | 338.35 | 336.60 | 336.00 | 357.41 | 333.42 | 316.69 | 317.47 | 363.74 | 321.59 | 314.15 | 321.31 | 280.28 | 1,016.65 | 1,217.34 | 1,026.23 | 1,068.91 | 1,705.28 | 1,826.93 | 543.50 | 200.92 | 210.45 | 244.26 | 218.06 | 247.23 | 309.28 | 277.27 | 245.28 | 320.46 | 300.71 | 311.84 | 244.24 | 221.51 | 206.06 | 197.06 | 219.99 | 210.36 | 175.93 | 184.10 | 167.38 | 156.41 | 129.43 | 134.89 | 163.07 | 158.79 | 143.61 | 158.60 | 155.21 | 130.58 | 118.98 | 125.61 | 108.64 | 116.83 | 109.72 | 109.48 | 114.78 | 113.90 | 118.59 | 114.58 | 95.76 | 105.16 | 79.60 | 92.71 | 94.29 | 108.54 | 85.76 | 242.46 | 81.65 | 93.47 | 79.81 | 91.85 | 82.57 | 86.06 | 73.36 | 99.56 | 83.97 | 81.37 |
| Accounts receivable, net | 698.38 | 637.84 | 670.14 | 588.51 | 597.40 | 533.49 | 545.58 | 586.78 | 501.12 | 511.91 | 520.39 | 471.01 | 484.77 | 501.80 | 504.89 | 439.82 | 405.59 | 379.28 | 378.39 | 359.67 | 352.52 | 350.92 | 364.77 | 266.92 | 340.28 | 333.25 | 309.00 | 281.61 | 298.32 | 275.19 | 258.14 | 261.30 | 282.53 | 272.45 | 280.73 | 276.11 | 246.88 | 270.77 | 287.68 | 294.53 | 295.79 | 248.12 | 247.87 | 212.07 | 196.65 | 195.52 | 200.90 | 190.85 | 191.12 | 173.11 | 171.64 | 155.55 | 160.42 | 173.34 | 161.38 | 133.94 | 144.79 | 135.70 | 140.69 | 136.37 | 140.23 | 116.65 | 125.80 | 121.33 | 147.47 | 142.72 | 126.51 | 140.75 | 125.31 | 67.44 | 71.24 | 74.97 | 65.27 | 53.90 | 59.88 | 52.74 | 59.92 | 73.83 | 80.36 | 102.60 | 124.27 |
| Inventories | 7,559.06 | 7,144.35 | 7,025.69 | 6,822.88 | 6,588.59 | 6,274.07 | 6,155.22 | 6,155.30 | 5,970.18 | 5,774.47 | 5,764.14 | 5,703.69 | 5,731.26 | 5,607.69 | 5,638.00 | 5,313.11 | 5,031.22 | 4,768.26 | 4,639.81 | 4,665.48 | 4,736.83 | 4,628.33 | 4,473.28 | 4,440.60 | 4,606.21 | 4,463.12 | 4,319.11 | 4,325.66 | 4,305.47 | 4,090.38 | 3,943.67 | 4,005.82 | 4,085.53 | 4,012.10 | 3,882.09 | 3,861.05 | 3,902.12 | 3,773.24 | 3,631.92 | 3,597.25 | 3,590.69 | 3,515.70 | 3,421.64 | 3,468.25 | 3,456.81 | 3,280.23 | 3,140.10 | 3,133.35 | 3,089.25 | 2,947.56 | 2,861.01 | 2,796.78 | 2,758.54 | 2,702.10 | 2,627.98 | 2,629.82 | 2,577.70 | 2,531.21 | 2,466.11 | 2,491.98 | 2,418.75 | 2,361.51 | 2,304.58 | 2,288.36 | 2,261.53 | 2,262.82 | 2,207.50 | 2,240.51 | 2,190.20 | 2,186.63 | 2,150.11 | 2,106.47 | 2,068.48 | 2,051.52 | 2,007.43 | 1,979.24 | 1,910.85 | 1,883.35 | 1,846.65 | 1,752.69 | 1,722.68 |
| Other current assets | 1,121.78 | 350.97 | 373.75 | 305.69 | 315.70 | 308.98 | 307.79 | 272.02 | 381.67 | 387.45 | 217.84 | 259.26 | 277.50 | 253.84 | 220.71 | 238.74 | 227.54 | 240.49 | 225.76 | 223.60 | 211.34 | 193.54 | 223.00 | 181.35 | 201.09 | 202.52 | 224.28 | 190.01 | 197.62 | 188.50 | 216.24 | 185.77 | 169.73 | 174.96 | 155.17 | 142.95 | 133.12 | 129.14 | 130.24 | 120.33 | 115.38 | 124.56 | 125.48 | 116.89 | 108.86 | 114.64 | 115.13 | 118.30 | 107.40 | 123.71 | 103.17 | 92.31 | 88.86 | 86.99 | 86.50 | 77.41 | 82.86 | 79.09 | 88.02 | 77.81 | 71.26 | 84.39 | 83.16 | 73.50 | 134.56 | 132.79 | 135.01 | 132.43 | 157.38 | 122.32 | 122.49 | 123.85 | 129.43 | 134.50 | 116.50 | 116.23 | 123.52 | 126.76 | 100.36 | 101.12 | 106.67 |
| Total current assets | 8,934.57 | 8,442.51 | 8,341.38 | 7,985.71 | 7,802.60 | 7,420.55 | 7,306.76 | 7,289.45 | 7,157.06 | 6,956.80 | 6,779.43 | 6,708.87 | 6,794.81 | 6,633.12 | 6,627.98 | 6,254.72 | 5,903.77 | 6,349.15 | 6,415.30 | 6,224.40 | 6,326.85 | 6,836.80 | 6,811.87 | 5,397.99 | 5,300.55 | 5,156.98 | 5,028.69 | 4,971.34 | 4,997.07 | 4,806.16 | 4,635.87 | 4,671.28 | 4,826.31 | 4,717.19 | 4,611.26 | 4,507.25 | 4,492.77 | 4,368.69 | 4,239.57 | 4,225.49 | 4,209.81 | 4,053.87 | 3,970.29 | 3,950.49 | 3,913.86 | 3,707.58 | 3,580.61 | 3,587.84 | 3,527.51 | 3,370.24 | 3,278.01 | 3,178.32 | 3,123.37 | 3,062.29 | 2,978.95 | 2,944.27 | 2,908.56 | 2,842.67 | 2,792.43 | 2,806.53 | 2,738.12 | 2,660.56 | 2,611.82 | 2,578.95 | 2,648.71 | 2,617.94 | 2,561.73 | 2,607.98 | 2,580.87 | 2,462.15 | 2,586.30 | 2,386.94 | 2,356.64 | 2,319.74 | 2,270.46 | 2,230.78 | 2,180.35 | 2,157.29 | 2,118.93 | 2,040.38 | 2,034.99 |
| Total non-current assets | 10,611.02 | 11,223.07 | 11,013.95 | 10,636.27 | 10,313.68 | 10,045.21 | 9,869.78 | 9,818.98 | 9,560.60 | 9,335.77 | 9,206.45 | 8,889.05 | 8,750.34 | 8,682.82 | 8,647.06 | 8,265.84 | 8,174.70 | 8,111.80 | 8,100.90 | 7,913.55 | 7,833.15 | 7,731.78 | 7,612.00 | 7,504.14 | 7,563.20 | 7,543.48 | 4,867.23 | 4,802.40 | 4,748.02 | 4,717.43 | 4,711.11 | 4,630.49 | 4,577.41 | 4,679.89 | 4,648.53 | 4,521.02 | 4,409.86 | 4,373.86 | 4,360.21 | 4,238.62 | 4,156.60 | 4,163.66 | 4,136.88 | 4,081.95 | 4,036.10 | 4,009.52 | 3,937.25 | 3,783.96 | 3,724.39 | 3,653.19 | 3,614.08 | 3,604.72 | 3,538.82 | 3,335.75 | 3,286.69 | 3,204.58 | 3,147.90 | 3,089.91 | 3,077.18 | 3,078.35 | 3,027.49 | 2,979.93 | 2,959.77 | 2,873.82 | 2,776.28 | 2,767.88 | 2,756.68 | 2,688.19 | 2,654.22 | 2,651.07 | 2,670.81 | 2,639.97 | 2,581.75 | 2,554.48 | 2,534.25 | 2,491.72 | 2,466.16 | 2,454.39 | 2,407.38 | 2,402.54 | 2,366.86 |
| Total assets | 19,545.59 | 19,665.59 | 19,355.32 | 18,621.98 | 18,116.28 | 17,465.76 | 17,176.54 | 17,108.43 | 16,717.65 | 16,292.57 | 15,985.88 | 15,597.92 | 15,545.14 | 15,315.93 | 15,275.04 | 14,520.57 | 14,078.47 | 14,460.95 | 14,516.20 | 14,137.95 | 14,159.99 | 14,568.57 | 14,423.87 | 12,902.13 | 12,863.75 | 12,700.46 | 9,895.91 | 9,773.74 | 9,745.10 | 9,523.58 | 9,346.98 | 9,301.77 | 9,403.72 | 9,397.08 | 9,259.78 | 9,028.26 | 8,902.63 | 8,742.54 | 8,599.79 | 8,464.11 | 8,366.41 | 8,217.53 | 8,107.17 | 8,032.44 | 7,949.97 | 7,717.10 | 7,517.86 | 7,371.80 | 7,251.91 | 7,023.42 | 6,892.09 | 6,783.04 | 6,662.19 | 6,398.04 | 6,265.64 | 6,148.85 | 6,056.46 | 5,932.58 | 5,869.60 | 5,884.88 | 5,765.60 | 5,640.49 | 5,571.59 | 5,452.77 | 5,424.99 | 5,385.82 | 5,318.41 | 5,296.18 | 5,235.09 | 5,113.21 | 5,257.11 | 5,026.90 | 4,938.40 | 4,874.22 | 4,804.71 | 4,722.50 | 4,646.51 | 4,611.69 | 4,526.31 | 4,442.92 | 4,401.85 |
| Total current liabilities | 10,035.31 | 9,813.93 | 9,519.40 | 9,465.54 | 9,267.36 | 8,888.57 | 8,714.24 | 9,192.59 | 8,772.61 | 8,785.62 | 8,511.86 | 8,464.95 | 8,614.62 | 8,708.99 | 8,588.39 | 8,064.08 | 7,684.65 | 8,087.89 | 7,369.75 | 7,013.25 | 6,554.27 | 6,456.70 | 6,307.09 | 5,769.08 | 5,779.56 | 5,868.24 | 5,512.14 | 5,316.89 | 5,334.30 | 5,168.17 | 5,028.68 | 4,918.34 | 4,947.23 | 5,067.64 | 4,766.30 | 4,793.54 | 4,784.27 | 4,850.22 | 4,690.32 | 4,647.59 | 4,994.66 | 4,775.24 | 4,713.89 | 4,693.10 | 4,623.32 | 5,090.96 | 4,541.09 | 4,603.95 | 4,388.33 | 4,332.83 | 4,169.15 | 3,836.05 | 4,231.81 | 3,744.49 | 3,655.59 | 3,567.39 | 3,516.79 | 3,578.97 | 3,430.90 | 3,461.84 | 3,225.14 | 3,244.89 | 3,063.96 | 2,872.08 | 2,749.32 | 2,804.38 | 2,706.75 | 3,135.96 | 2,468.68 | 2,527.98 | 2,519.32 | 2,383.97 | 2,325.22 | 2,319.27 | 2,285.89 | 2,160.15 | 2,080.38 | 2,047.29 | 2,054.57 | 1,865.73 | 1,794.80 |
| Total non-current liabilities | 12,294.83 | 13,080.26 | 13,250.24 | 13,130.85 | 13,306.70 | 13,250.11 | 13,211.91 | 12,754.08 | 12,782.37 | 12,720.62 | 11,823.92 | 11,434.55 | 11,114.69 | 10,444.87 | 10,225.56 | 9,843.72 | 9,531.31 | 8,497.81 | 8,943.98 | 8,888.09 | 9,129.30 | 9,138.85 | 8,994.76 | 8,765.79 | 8,795.31 | 8,608.31 | 6,097.62 | 6,046.36 | 6,005.15 | 6,014.03 | 5,838.65 | 5,745.04 | 5,787.04 | 5,854.54 | 5,921.86 | 5,948.94 | 5,945.80 | 5,787.55 | 5,697.01 | 5,679.80 | 5,113.07 | 5,220.41 | 5,090.87 | 4,982.58 | 4,795.32 | 4,288.95 | 4,577.93 | 4,576.08 | 4,573.84 | 4,411.82 | 4,410.26 | 4,479.33 | 3,980.49 | 4,244.92 | 4,158.07 | 3,998.29 | 3,835.20 | 3,700.71 | 3,692.94 | 3,542.58 | 3,578.88 | 3,212.77 | 3,246.40 | 3,042.64 | 3,097.34 | 3,065.41 | 3,044.73 | 2,205.34 | 2,953.71 | 2,525.24 | 2,508.11 | 2,187.11 | 2,330.94 | 2,383.89 | 2,115.62 | 2,102.99 | 2,022.54 | 2,026.56 | 2,002.21 | 2,008.65 | 1,965.89 |
| Total liabilities | 22,330.14 | 22,894.19 | 22,769.64 | 22,596.39 | 22,574.05 | 22,138.68 | 21,926.15 | 21,946.67 | 21,554.98 | 21,506.24 | 20,335.77 | 19,899.50 | 19,729.31 | 19,153.86 | 18,813.96 | 17,907.80 | 17,215.95 | 16,585.70 | 16,313.74 | 15,901.34 | 15,683.57 | 15,595.55 | 15,301.85 | 14,534.87 | 14,574.87 | 14,476.55 | 11,609.76 | 11,363.25 | 11,339.46 | 11,182.20 | 10,867.34 | 10,663.37 | 10,734.27 | 10,922.18 | 10,688.16 | 10,742.48 | 10,730.07 | 10,637.77 | 10,387.33 | 10,327.39 | 10,107.73 | 9,995.65 | 9,803.74 | 9,675.69 | 9,418.64 | 9,379.91 | 9,119.02 | 9,180.03 | 8,973.15 | 8,744.64 | 8,579.41 | 8,315.38 | 8,212.30 | 7,989.41 | 7,813.66 | 7,565.68 | 7,351.99 | 7,279.68 | 7,123.83 | 7,004.42 | 6,804.02 | 6,457.66 | 6,310.36 | 5,914.72 | 5,846.66 | 5,869.79 | 5,751.48 | 5,341.30 | 5,422.39 | 5,053.22 | 5,027.43 | 4,571.08 | 4,656.16 | 4,703.16 | 4,401.51 | 4,263.14 | 4,102.92 | 4,073.85 | 4,056.78 | 3,874.37 | 3,760.70 |
| Total stockholders' equity | -2,784.55 | -3,228.61 | -3,414.31 | -3,974.41 | -4,457.77 | -4,672.92 | -4,749.61 | -4,838.24 | -4,837.32 | -5,213.67 | -4,349.89 | -4,301.58 | -4,184.17 | -3,837.92 | -3,538.91 | -3,387.23 | -3,137.48 | -2,124.75 | -1,797.54 | -1,763.39 | -1,523.57 | -1,026.98 | -877.98 | -1,632.74 | -1,711.12 | -1,776.09 | -1,713.85 | -1,589.51 | -1,594.36 | -1,658.62 | -1,520.36 | -1,361.60 | -1,330.55 | -1,525.10 | -1,428.38 | -1,714.21 | -1,827.44 | -1,895.23 | -1,787.54 | -1,863.28 | -1,741.31 | -1,778.12 | -1,701.39 | -1,643.25 | -1,468.68 | -1,662.81 | -1,621.86 | -1,808.23 | -1,710.26 | -1,721.22 | -1,687.32 | -1,532.34 | -1,550.11 | -1,591.37 | -1,548.03 | -1,416.83 | -1,295.52 | -1,347.10 | -1,254.23 | -1,119.54 | -1,038.41 | -817.17 | -738.77 | -461.95 | -421.67 | -483.97 | -433.07 | -45.12 | -187.30 | 60.00 | 229.69 | 455.83 | 282.23 | 171.05 | 403.20 | 459.36 | 543.59 | 537.84 | 469.53 | 568.55 | 641.16 |
| Common shares outstanding | 17 | 17 | 17 | 17 | 17 | 17 | 17 | 18 | 18 | 18 | 19 | 19 | 19 | 20 | 20 | 20 | 21 | 22 | 22 | 23 | 23 | 24 | 24 | 24 | 24 | 24 | 25 | 25 | 26 | 26 | 27 | 27 | 28 | 28 | 28 | 29 | 29 | 30 | 30 | 30 | 31 | 31 | 31 | 32 | 33 | 33 | 33 | 34 | 34 | 35 | 36 | 37 | 37 | 38 | 38 | 40 | 40 | 41 | 42 | 43 | 44 | 46 | 48 | 49 | 50 | 51 | 51 | 55 | 57 | 59 | 59 | 64 | 64 | 65 | 65 | 70 | 71 | 72 | 72 | 77 | 77 |