Balance Sheet - CARMAX INC (KMX)
$(Billion, Million)| Feb-26 | Feb-25 | Feb-24 | Feb-23 | Feb-22 | Feb-21 | Feb-20 | Feb-19 | Feb-18 | Feb-17 | Feb-16 | Feb-15 | Feb-14 | Feb-13 | Feb-12 | Feb-11 | Feb-10 | Feb-09 | Feb-08 | Feb-07 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 122.83 | 246.96 | 17,704.19 | 314.76 | 102.72 | 132.32 | 58.21 | 46.94 | 443.97 | 418.77 | 37.98 | 28.81 | 887.20 | 449.39 | 646.97 | 202.17 | 18.28 | 140.60 | 12.97 | 19.46 |
| Accounts receivable, net | 204.45 | 188.73 | 221.15 | 298.78 | 560.98 | 239.07 | 191.09 | 139.85 | 133.32 | 152.39 | 132.17 | 137.69 | 79.92 | 91.96 | 86.43 | 119.60 | 682.39 | 433.89 | 348.97 | 273.72 |
| Inventories | 4,137.01 | 3,934.62 | 3,678.07 | 3,726.14 | 5,124.57 | 3,157.16 | 2,846.42 | 2,519.46 | 2,390.69 | 2,260.56 | 1,932.03 | 2,086.87 | 1,641.42 | 1,517.81 | 1,092.59 | 1,049.48 | 843.13 | 703.16 | 975.78 | 836.12 |
| Other current assets | 846.12 | 707.32 | 753.23 | 701.68 | 761.02 | 588.25 | 567.97 | 507.77 | 492.90 | 422.26 | 369.60 | 346.87 | 293.98 | 250.99 | 231.76 | 199.90 | 12.61 | 10.11 | 19.21 | 21.23 |
| Total current assets | 5,310.40 | 5,077.64 | 5,226.59 | 5,041.37 | 6,549.29 | 4,116.80 | 3,663.69 | 3,214.01 | 3,061.44 | 2,873.63 | 2,471.78 | 2,599.04 | 2,643.22 | 2,310.13 | 1,853.45 | 1,410.10 | 1,556.41 | 1,287.75 | 1,356.93 | 1,150.52 |
| Total non-current assets | 21,057.50 | 22,326.57 | 21,970.20 | 21,141.37 | 19,788.97 | 17,424.75 | 17,418.50 | 15,503.85 | 14,424.83 | 13,405.73 | 12,009.80 | 10,599.16 | 9,063.93 | 7,578.47 | 6,478.10 | 5,429.81 | 999.78 | 1,091.44 | 976.24 | 735.06 |
| Total assets | 26,367.90 | 27,404.21 | 27,196.80 | 26,182.74 | 26,338.26 | 21,541.54 | 21,082.18 | 18,717.87 | 17,486.27 | 16,279.36 | 14,481.58 | 13,198.20 | 11,707.16 | 9,888.60 | 8,331.54 | 6,839.91 | 2,556.19 | 2,379.19 | 2,333.16 | 1,885.57 |
| Total current liabilities | 2,414.81 | 2,197.97 | 2,312.29 | 1,938.31 | 2,047.46 | 1,698.55 | 1,534.71 | 1,311.51 | 1,174.06 | 1,105.79 | 1,005.19 | 997.17 | 875.50 | 684.17 | 646.31 | 508.22 | 477.35 | 490.77 | 490.02 | 512.02 |
| Total non-current liabilities | 18,064.24 | 18,963.25 | 18,810.77 | 18,631.35 | 19,055.37 | 15,478.38 | 15,778.60 | 14,049.33 | 12,995.37 | 12,064.99 | 10,571.60 | 9,044.24 | 7,514.66 | 6,185.26 | 5,012.12 | 4,040.06 | 145.26 | 295.35 | 354.21 | 126.18 |
| Total liabilities | 20,479.05 | 21,161.22 | 21,123.06 | 20,569.66 | 21,102.83 | 17,176.93 | 17,313.31 | 15,360.84 | 14,169.42 | 13,170.78 | 11,576.79 | 10,041.42 | 8,390.16 | 6,869.44 | 5,658.43 | 4,548.28 | 622.61 | 786.12 | 844.24 | 638.20 |
| Total stockholders' equity | 5,888.86 | 6,242.99 | 6,073.74 | 5,613.08 | 5,235.44 | 4,364.61 | 3,768.88 | 3,357.03 | 3,316.85 | 3,108.58 | 2,904.79 | 3,156.79 | 3,317.00 | 3,019.17 | 2,673.11 | 2,291.63 | 1,933.58 | 1,593.07 | 1,488.93 | 1,247.38 |
| Common shares outstanding | 148 | 156 | 159 | 160 | 165 | 165 | 167 | 176 | 184 | 192 | 206 | 219 | 228 | 232 | 231 | 228 | 222 | 219 | 221 | 217 |
Show Quarterly Balance Sheet
Balance Sheet - CARMAX INC (KMX)
$(Billion, Million)| May-26 | 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 | 132.22 | 122.83 | 204.94 | 540.37 | 262.82 | 246.96 | 271.91 | 524.67 | 218.93 | 574.14 | 605.38 | 521.10 | 264.25 | 314.76 | 688.62 | 56.77 | 95.31 | 102.72 | 62.60 | 58.10 | 377.95 | 132.32 | 236.64 | 711.56 | 658.02 | 58.21 | 56.58 | 40.74 | 42.20 | 46.94 | 461.66 | 484.79 | 507.76 | 443.97 | 32.36 | 26.00 | 60.66 | 418.77 | 32.49 | 318.54 | 55.09 | 37.98 | 34.97 | 100.57 | 351.76 | 28.81 | 190.07 | 354.69 | 822.84 | 887.20 | 911.55 | 751.69 | 726.52 | 449.39 | 445.13 | 663.30 | 638.73 | 646.97 | 557.80 | 336.86 | 326.10 | 202.17 | 240.18 | 221.74 | 160.72 | 18.28 | 15.21 | 122.35 | 133.58 | 140.60 | 138.14 | 10.92 | 11.89 | 12.97 | 8.38 | 7.59 | 22.03 | 19.46 | 12.35 | 23.78 | 26.04 | 21.76 |
| Accounts receivable, net | 263.92 | 204.45 | 151.10 | 173.56 | 200.31 | 188.73 | 213.59 | 228.11 | 212.37 | 221.15 | 212.41 | 271.87 | 321.99 | 298.78 | 246.79 | 402.45 | 610.59 | 560.98 | 563.14 | 517.26 | 413.22 | 239.07 | 168.98 | 203.16 | 145.02 | 191.09 | 142.74 | 141.09 | 133.88 | 139.85 | 111.16 | 104.88 | 101.35 | 133.32 | 95.84 | 99.73 | 104.75 | 152.39 | 92.00 | 94.58 | 102.54 | 132.17 | 88.53 | 100.83 | 103.66 | 137.69 | 88.18 | 108.86 | 97.81 | 79.92 | 68.03 | 85.55 | 70.45 | 91.96 | 62.66 | 70.43 | 65.71 | 86.43 | 54.52 | 64.85 | 85.06 | 119.60 | 66.05 | 65.98 | 84.90 | 682.39 | 608.42 | 590.91 | 507.99 | 433.89 | 381.72 | 401.21 | 344.01 | 348.97 | 286.43 | 280.50 | 291.67 | 279.88 | 255.69 | 260.53 | 238.30 | 239.07 |
| Inventories | 4,062.77 | 4,137.01 | 3,127.95 | 3,149.57 | 3,624.35 | 3,934.62 | 3,665.16 | 3,397.75 | 3,772.89 | 3,678.07 | 3,638.95 | 3,839.29 | 4,081.22 | 3,726.14 | 3,414.94 | 4,671.69 | 4,691.09 | 5,124.57 | 4,659.46 | 4,105.46 | 3,248.85 | 3,157.16 | 2,780.21 | 2,824.96 | 1,899.43 | 2,846.42 | 2,682.57 | 2,604.75 | 2,551.14 | 2,519.46 | 2,424.70 | 2,357.36 | 2,260.03 | 2,390.69 | 2,440.55 | 2,231.77 | 2,148.25 | 2,260.56 | 2,170.18 | 1,918.80 | 1,864.99 | 1,932.03 | 2,153.27 | 1,911.55 | 1,844.08 | 2,086.87 | 1,964.67 | 1,708.96 | 1,681.80 | 1,641.42 | 1,556.28 | 1,364.02 | 1,398.20 | 1,517.81 | 1,339.04 | 1,198.01 | 1,210.20 | 1,092.59 | 1,013.18 | 1,061.31 | 1,116.34 | 1,049.48 | 1,002.98 | 929.17 | 894.67 | 843.13 | 751.30 | 790.08 | 781.09 | 703.16 | 601.51 | 736.13 | 933.96 | 975.78 | 892.23 | 820.17 | 863.51 | 836.12 | 760.82 | 734.36 | 738.71 | 669.70 |
| Other current assets | 1,375.42 | 846.12 | 714.22 | 1,678.52 | 1,365.11 | 707.32 | 667.97 | 708.53 | 766.12 | 753.23 | 653.22 | 754.11 | 696.21 | 701.68 | 633.67 | 741.55 | 720.98 | 761.02 | 669.88 | 690.48 | 650.58 | 588.25 | 551.27 | 588.18 | 581.26 | 567.97 | 568.35 | 598.36 | 556.53 | 507.77 | 486.51 | 522.70 | 519.77 | 492.90 | 442.24 | 446.07 | 420.90 | 422.26 | 398.39 | 425.94 | 393.96 | 370.19 | 359.74 | 390.87 | 366.32 | 346.87 | 330.52 | 344.03 | 324.94 | 293.98 | 269.73 | 281.81 | 259.60 | 250.99 | 238.55 | 234.54 | 198.69 | 231.76 | 197.28 | 187.75 | 183.55 | 199.90 | 194.08 | 184.26 | 162.49 | 12.61 | 17.41 | 18.25 | 30.85 | 10.11 | 8.89 | 15.05 | 33.33 | 19.21 | 25.20 | 24.46 | 11.12 | 15.07 | 17.10 | 12.07 | 23.96 | 11.21 |
| Total current assets | 5,834.33 | 5,310.40 | 4,198.21 | 5,542.02 | 5,452.59 | 5,077.64 | 4,818.64 | 4,859.06 | 4,970.31 | 5,226.59 | 5,109.95 | 5,386.37 | 5,363.67 | 5,041.37 | 4,984.02 | 5,872.46 | 6,117.97 | 6,549.29 | 5,955.07 | 5,371.30 | 4,690.61 | 4,116.80 | 3,737.10 | 4,327.86 | 3,283.73 | 3,663.69 | 3,450.24 | 3,384.94 | 3,283.75 | 3,214.01 | 3,057.42 | 3,022.09 | 2,957.49 | 3,061.44 | 3,004.92 | 2,803.34 | 2,734.54 | 2,873.63 | 2,684.28 | 2,755.35 | 2,416.58 | 2,471.78 | 2,634.88 | 2,503.73 | 2,665.83 | 2,599.04 | 2,573.25 | 2,516.44 | 2,636.74 | 2,643.22 | 2,558.79 | 2,481.41 | 2,454.77 | 2,310.13 | 2,085.36 | 1,961.55 | 1,931.01 | 1,853.45 | 1,648.40 | 1,495.82 | 1,540.95 | 1,410.10 | 1,337.50 | 1,234.57 | 1,155.76 | 1,556.41 | 1,392.34 | 1,521.58 | 1,453.50 | 1,287.75 | 1,130.26 | 1,163.31 | 1,323.19 | 1,356.93 | 1,212.24 | 1,132.72 | 1,188.33 | 1,150.52 | 1,045.95 | 1,030.75 | 1,027.00 | 941.74 |
| Total non-current assets | 20,892.92 | 21,057.50 | 21,364.15 | 21,537.63 | 21,933.81 | 22,326.57 | 22,478.49 | 22,436.76 | 22,271.79 | 21,970.20 | 22,063.30 | 21,913.79 | 21,598.69 | 21,141.37 | 20,954.92 | 20,598.08 | 20,220.73 | 19,788.97 | 19,620.15 | 19,082.03 | 18,142.28 | 17,424.75 | 17,195.75 | 16,918.45 | 16,688.80 | 17,418.50 | 17,036.99 | 16,755.32 | 16,430.73 | 15,503.85 | 15,339.39 | 15,154.42 | 14,798.67 | 14,424.83 | 14,298.49 | 14,072.40 | 13,741.15 | 13,405.73 | 13,075.79 | 12,748.99 | 12,373.35 | 12,009.80 | 11,746.28 | 11,448.84 | 11,004.85 | 10,599.16 | 10,270.15 | 9,883.47 | 9,512.22 | 9,063.93 | 8,745.08 | 8,452.36 | 7,995.68 | 7,578.47 | 7,212.32 | 6,909.89 | 6,667.16 | 6,478.10 | 5,985.00 | 5,863.16 | 5,619.08 | 5,429.81 | 5,357.89 | 5,342.61 | 5,216.19 | 999.78 | 1,017.93 | 1,065.72 | 1,097.17 | 1,091.44 | 1,087.93 | 1,100.84 | 1,052.89 | 976.24 | 897.16 | 845.07 | 788.82 | 735.06 | 658.71 | 605.97 | 589.13 | 547.51 |
| Total assets | 26,626.90 | 26,367.90 | 25,562.36 | 27,079.64 | 27,386.41 | 27,404.21 | 27,297.13 | 27,295.82 | 27,242.09 | 27,196.80 | 27,173.25 | 27,300.16 | 26,962.36 | 26,182.74 | 25,938.94 | 26,470.54 | 26,338.69 | 26,338.26 | 25,575.22 | 24,453.32 | 22,832.89 | 21,541.54 | 20,932.85 | 21,246.31 | 19,972.53 | 21,082.18 | 20,487.23 | 20,140.25 | 19,714.48 | 18,717.87 | 18,396.81 | 18,176.51 | 17,756.17 | 17,486.27 | 17,303.41 | 16,875.73 | 16,475.69 | 16,279.36 | 15,760.07 | 15,504.33 | 14,789.93 | 14,481.58 | 14,381.17 | 13,952.57 | 13,670.68 | 13,198.20 | 12,843.41 | 12,399.91 | 12,148.96 | 11,707.16 | 11,303.88 | 10,933.77 | 10,450.45 | 9,888.60 | 9,297.68 | 8,871.44 | 8,598.16 | 8,331.54 | 7,633.40 | 7,358.98 | 7,160.03 | 6,839.91 | 6,695.39 | 6,577.18 | 6,371.95 | 2,556.19 | 2,410.27 | 2,587.30 | 2,550.68 | 2,379.19 | 2,218.18 | 2,264.15 | 2,376.07 | 2,333.16 | 2,109.39 | 1,977.79 | 1,977.15 | 1,885.57 | 1,704.67 | 1,636.72 | 1,616.13 | 1,489.25 |
| Total current liabilities | 2,157.05 | 2,414.81 | 2,106.24 | 2,252.04 | 2,277.35 | 2,197.97 | 2,097.29 | 2,155.80 | 1,985.90 | 2,312.29 | 2,083.24 | 2,320.39 | 2,113.97 | 1,938.31 | 1,937.05 | 2,132.19 | 2,251.75 | 2,047.46 | 2,056.85 | 1,958.96 | 2,093.39 | 1,698.55 | 1,437.79 | 1,598.94 | 1,151.01 | 1,534.71 | 1,421.04 | 1,396.70 | 1,485.40 | 1,311.51 | 1,224.87 | 1,283.46 | 1,288.20 | 1,174.06 | 1,111.68 | 1,201.56 | 1,166.67 | 1,105.79 | 1,027.72 | 1,084.36 | 1,083.37 | 1,005.19 | 923.55 | 1,001.98 | 999.57 | 997.17 | 928.18 | 906.93 | 962.16 | 875.50 | 748.60 | 729.92 | 710.23 | 684.17 | 575.69 | 525.84 | 618.52 | 646.31 | 531.32 | 490.29 | 576.83 | 508.22 | 469.25 | 485.84 | 568.45 | 477.35 | 427.64 | 555.74 | 640.22 | 490.77 | 379.49 | 392.29 | 478.09 | 490.02 | 510.09 | 423.61 | 502.94 | 512.02 | 436.66 | 436.51 | 395.09 | 363.32 |
| Total non-current liabilities | 18,351.26 | 18,064.24 | 17,391.58 | 18,627.09 | 18,822.14 | 18,963.25 | 18,988.62 | 18,960.41 | 19,089.33 | 18,810.77 | 19,045.65 | 18,974.11 | 19,025.22 | 18,631.35 | 18,514.32 | 18,924.13 | 18,686.31 | 19,055.37 | 18,408.57 | 17,579.18 | 16,036.02 | 15,478.38 | 15,366.59 | 15,664.80 | 15,243.22 | 15,778.60 | 15,368.14 | 15,131.99 | 14,776.32 | 14,049.33 | 13,736.83 | 13,410.93 | 13,084.20 | 12,995.37 | 12,891.01 | 12,473.19 | 12,156.89 | 12,064.99 | 11,716.97 | 11,357.62 | 10,734.27 | 10,571.60 | 10,545.86 | 9,739.60 | 9,396.44 | 9,044.24 | 8,733.07 | 8,135.00 | 7,857.43 | 7,514.66 | 7,266.91 | 7,019.08 | 6,664.84 | 6,185.26 | 5,698.32 | 5,396.01 | 5,159.30 | 5,012.12 | 4,465.23 | 4,316.46 | 4,166.59 | 4,040.06 | 4,042.65 | 4,022.34 | 3,845.22 | 145.26 | 136.65 | 287.34 | 284.00 | 295.35 | 274.99 | 310.91 | 361.14 | 354.21 | 144.98 | 143.34 | 145.84 | 126.18 | 69.10 | 68.51 | 167.47 | 166.19 |
| Total liabilities | 20,508.31 | 20,479.05 | 19,497.82 | 20,879.12 | 21,099.50 | 21,161.22 | 21,085.92 | 21,116.21 | 21,075.22 | 21,123.06 | 21,128.89 | 21,294.50 | 21,139.19 | 20,569.66 | 20,451.37 | 21,056.32 | 20,938.06 | 21,102.83 | 20,465.42 | 19,538.14 | 18,129.41 | 17,176.93 | 16,804.37 | 17,263.75 | 16,394.22 | 17,313.31 | 16,789.18 | 16,528.70 | 16,261.72 | 15,360.84 | 14,961.70 | 14,694.39 | 14,372.41 | 14,169.42 | 14,002.69 | 13,674.75 | 13,323.56 | 13,170.78 | 12,744.68 | 12,441.99 | 11,817.64 | 11,576.79 | 11,469.41 | 10,741.58 | 10,396.01 | 10,041.42 | 9,661.25 | 9,041.93 | 8,819.59 | 8,390.16 | 8,015.51 | 7,749.00 | 7,375.07 | 6,869.44 | 6,274.01 | 5,921.85 | 5,777.82 | 5,658.43 | 4,996.55 | 4,806.75 | 4,729.61 | 4,548.28 | 4,511.91 | 4,508.18 | 4,413.66 | 622.61 | 564.29 | 843.07 | 924.21 | 786.12 | 654.48 | 703.21 | 839.23 | 844.24 | 655.06 | 566.96 | 648.78 | 638.20 | 505.76 | 505.02 | 562.57 | 529.51 |
| Total stockholders' equity | 6,118.59 | 5,888.86 | 6,064.53 | 6,200.52 | 6,286.91 | 6,242.99 | 6,211.21 | 6,179.61 | 6,166.87 | 6,073.74 | 6,044.37 | 6,005.66 | 5,823.17 | 5,613.08 | 5,487.57 | 5,414.23 | 5,400.64 | 5,235.44 | 5,109.80 | 4,915.18 | 4,703.48 | 4,364.61 | 4,128.48 | 3,982.56 | 3,578.31 | 3,768.88 | 3,698.05 | 3,611.56 | 3,452.76 | 3,357.03 | 3,435.11 | 3,482.12 | 3,383.76 | 3,316.85 | 3,300.73 | 3,200.99 | 3,152.13 | 3,108.58 | 3,015.38 | 3,062.35 | 2,972.29 | 2,904.79 | 2,911.76 | 3,210.98 | 3,274.67 | 3,156.79 | 3,182.15 | 3,357.99 | 3,329.37 | 3,317.00 | 3,288.37 | 3,184.78 | 3,075.38 | 3,019.17 | 3,023.67 | 2,949.59 | 2,820.35 | 2,673.11 | 2,636.85 | 2,552.22 | 2,430.43 | 2,291.63 | 2,183.49 | 2,069.00 | 1,958.29 | 1,933.58 | 1,845.97 | 1,744.23 | 1,626.47 | 1,593.07 | 1,563.70 | 1,560.95 | 1,536.84 | 1,488.93 | 1,454.33 | 1,410.83 | 1,328.37 | 1,247.38 | 1,198.91 | 1,131.70 | 1,053.57 | 980.10 |
| Common shares outstanding | 142 | 148 | 149 | 151 | 153 | 156 | 155 | 157 | 158 | 158 | 159 | 159 | 159 | 158 | 159 | 160 | 162 | 164 | 165 | 166 | 166 | 166 | 166 | 166 | 164 | 166 | 167 | 167 | 168 | 170 | 175 | 178 | 179 | 182 | 184 | 185 | 187 | 189 | 191 | 194 | 195 | 197 | 203 | 210 | 212 | 213 | 217 | 221 | 224 | 227 | 227 | 228 | 229 | 231 | 233 | 232 | 232 | 228 | 231 | 231 | 230 | 224 | 228 | 226 | 226 | 222 | 224 | 221 | 219 | 218 | 218 | 220 | 220 | 217 | 221 | 221 | 220 | 213 | 218 | 215 | 214 | 211 |