Skip to content

Copart CPRT Cash Flow Statement

FY'25FY'24FY'23FY'22
$1.55B+13.7%$1.36B+10.1%$1.24B+13.5%$1.09B+16.4%
$217.78M+14.5%$190.26M+19.1%$159.68M+15.2%$138.61M+12.6%
$38M+7.9%$35.23M-11.2%$39.67M+1.8%$38.97M-4.8%
-$13.44M$9.95M
$13.73M+457%$2.47M+33.5%$1.85M
-$4.66M-$26.55M
$76.57M
$2.16M$5.9M
$149K-$5.45M
$1.8B+22.2%$1.47B+7.9%$1.36B+15.9%$1.18B+18.7%
$568.99M+11.4%$510.99M-1.1%$516.64M+53.1%$337.45M-27.1%
$0
$31.83M+664%$4.17M-87.7%$33.92M+683%$4.33M+62.2%
$374.87M
-$587.45M+37.5%-$940.08M+50.3%-$1.89B
$42.76M+76.3%$24.26M-51.2%$49.68M+76.7%$28.11M-28.0%
$49K+250%$14K-39.1%$23K-95.7%$530K-52.6%
$5.28M-19.5%$6.56M+39.3%$4.71M+145%$1.93M-68.7%
$0$1.21M
$52.11M+158%$20.23M-69.6%$66.62M+117%-$382.69M-1,035%
$36.25M
-$426.84M
$2.02M-37.2%$3.22M+23.1%$2.61M-85.9%$18.54M-6.0%
$409M+43.1%$285.89M+11.0%$257.51M-2.2%$263.23M+47.7%
$0-100%$4.06M$0$0
$149K-$5.45M
$2.16M$5.9M
$575K+109%-$6.56M$29.88M
-$715K-25.4%
$76.57M
-$16.71M
$374.87M
$3.65B$0
$31.83M+664%$4.17M-87.7%$33.92M+683%$4.33M+62.2%
$49K+250%$14K-39.1%$23K-95.7%$530K-52.6%
$0$1.21M
$64.05M$0$0
$409M+43.1%$285.89M+11.0%$257.51M-2.2%$263.23M+47.7%
$1.23B+28.0%$961.57M+13.5%$847.57M+1.0%$839.24M+58.5%
$1.23B+28.0%$961.57M+13.5%$847.57M+1.0%$839.24M+58.5%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

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.