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Copart CPRT Cash Flow Statement

Q3 '26Q2 '26Q1 '26Q4 '25Q3 '25
$401.39M+14.7%$349.97M-13.0%$402.21M+1.7%$395.31M-2.5%$405.34M+4.9%
$59.09M+6.4%$55.51M+2.4%$54.2M+0.1%$54.14M-0.7%$54.52M+0.5%
$9.46M-7.5%$10.23M+9.8%$9.32M+2.4%$9.1M-0.8%$9.17M-1.5%
$2.27M+219%$712K-86.5%$5.29M+139%-$13.51M-67,635%$20K+101%
-$1.88M$1.13M-91.1%$12.69M+1,398%$847K+1,289%
$126K-93.6%$1.98M+884%$201K
$99.65M+296%$25.17M-21.4%$32.03M
$7.86M+747%$928K+41.7%$655K+114%-$4.84M+69.8%-$16M-313%
-$60.15M-380%$21.47M+58.6%$13.54M+19.9%$11.3M
$16.38M-$7.89M+9.1%-$8.68M-247%$5.91M
$2.14M+232%$644K+1,050%$56K-71.7%$198K-93.5%$3.03M+102%
-$115.42M-288%$61.5M
$22K-93.1%$321K+583%$47K+236%$14K-81.1%$74K+80.5%
$584.2M+358%$127.5M-76.2%$535.25M+22.1%$438.48M-37.4%$700.87M+293%
$80.89M+16.2%$69.62M-35.6%$108.04M+23.3%$87.64M-31.5%$127.95M+9.7%
$53K$4.7M+46,890%$10K
$1.37M-23.3%$1.78M-77.6%$7.93M-70.9%$27.3M+605%$3.87M+824%
$1.98B+27.2%$1.56B
$1.92B+6,848%-$28.4M+98.3%-$1.69B-193%
$1.41B
$5.08M-30.3%$7.29M+309%$1.79M-31.0%$2.59M-64.7%$7.34M-75.5%
$5K+400%$1K-80.0%$5K0.0%$5K+25.0%$4K-90.0%
$572K-33.5%$860K-35.3%$1.33M-30.9%$1.92M+120%$874K-50.5%
-$1.41B-585%-$205.83M-45,839%$450K-94.3%$7.93M+22.8%$6.46M-81.8%
$3.12M-26.4%$4.24M+304%$1.05M$6.81M
$2.45B+492%$414.03M
$223K-70.8%$764K+19.2%$641K+1,264%$47K-92.2%$601K-55.8%
$88.07M-57.5%$207.42M+934%$20.06M-77.7%$90.01M+115%$41.94M-78.6%
$0$0
$22K-93.1%$321K+583%$47K+236%$14K-81.1%$74K+80.5%
$2.14M+232%$644K+1,050%$56K-71.7%$198K-93.5%$3.03M+102%
$227K$0-100%$576K+101%-$48.24M-200%
-$320K-31.7%-$243K+16.2%-$290K-$301K
$16.38M-$7.89M+9.1%-$8.68M-247%$5.91M
$11.13M+469%$1.96M+211%-$1.76M+93.1%-$25.62M-464%
$126K-93.6%$1.98M+884%$201K
$1.98B+27.2%$1.56B
$10M-99.5%$2.03B+0.2%$2.02B
$1.37M-23.3%$1.78M-77.6%$7.93M-70.9%$27.3M+605%$3.87M+824%
$5K+400%$1K-80.0%$5K0.0%$5K+25.0%$4K-90.0%
$7.28M
$439K+16.8%$376K-81.5%$2.04M$0-100%$6.6M-88.5%
$88.07M-57.5%$207.42M+934%$20.06M-77.7%$90.01M+115%$41.94M-78.6%
$503.31M+770%$57.88M-86.5%$427.21M+21.8%$350.84M-38.8%$572.92M+832%
$503.31M+770%$57.88M-86.5%$427.21M+21.8%$350.84M-38.8%$572.92M+832%

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Questions, answered.

How much cash does Copart generate?
Copart (CPRT) generated $1.7B in operating cash flow over the trailing twelve months.
What is Copart's free cash flow?
After $346.2M of capital expenditures, Copart's free cash flow was $1.3B over the trailing twelve months, up 13.4% year over year.
Where does Copart's cash flow data come from?
Every line is extracted from Copart's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.