America's Car-Mart Financial Ratios for Analysis 2009-2024 | CRMT

Fifteen years of historical annual and quarterly financial ratios and margins for America's Car-Mart (CRMT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
1.421.501.692.041.892.001.902.062.102.152.202.112.252.813.063.22
----------------
1.601.280.920.560.710.590.660.510.470.450.460.490.420.250.220.19
45.5842.8244.6847.3347.8348.6048.5048.1246.3148.6348.6348.5748.0748.3248.9347.93
32.2229.8031.2332.5331.5031.9831.6331.7529.3332.1031.8932.2131.8031.4331.5530.37
32.2229.8031.2332.5331.5031.9831.6331.7529.3332.1031.8932.2131.8031.4331.5530.37
33.1030.5931.6332.9932.0532.6132.3732.5230.1132.8632.6032.8732.3831.9632.0530.84
-2.881.8410.3014.888.648.946.365.493.268.876.8810.9012.2711.8812.389.36
-2.261.467.9811.526.897.115.963.432.035.554.316.917.667.437.915.99
0.940.991.031.111.121.361.341.391.401.331.351.301.381.371.351.36
7.067.335.715.8210.679.179.3810.1210.207.958.357.288.208.318.5010.06
1.261.301.371.451.591.591.581.641.681.621.661.591.691.691.641.64
290281266252230229231223217225220230215216222223
-6.674.1019.9425.7916.9618.2815.848.675.0712.879.9215.9017.8815.0915.2311.43
-6.884.2020.3126.2617.3518.3115.868.685.0812.899.9415.9317.9215.1215.2611.45
-2.121.448.2312.757.699.678.014.762.857.375.828.9810.6110.2110.688.17
-6.674.1019.9425.7916.9618.2815.848.675.0712.879.9215.9017.8815.0915.2311.43
73.6178.2374.7961.3545.7438.8933.6630.6328.3426.8724.3822.4219.6717.8215.5412.85
-11.57-20.67-17.47-7.733.013.521.340.901.651.372.33-0.141.151.520.691.21
-12.48-24.02-19.78-8.922.262.971.110.821.130.941.57-0.720.711.090.230.99

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.401.421.431.431.471.501.511.561.591.691.751.821.922.042.032.001.941.891.991.972.032.001.881.891.891.901.931.912.042.062.072.011.992.101.992.142.112.152.052.092.142.202.032.152.132.111.992.122.152.252.202.242.552.812.662.792.843.063.263.193.183.223.03
---------------------------------------------------------------
1.661.601.581.561.411.281.241.121.070.920.830.740.640.560.580.620.660.710.630.640.580.590.700.670.650.660.630.610.500.510.500.530.510.470.540.450.450.450.500.480.430.460.540.470.470.490.570.490.460.420.460.430.310.250.300.280.250.220.200.200.190.190.24
46.3545.5947.1845.0844.7542.8544.1141.4143.0043.4245.2744.7645.5144.9347.9547.7649.5147.7447.7847.5548.2947.6449.2548.9348.6847.1949.0949.2948.6447.9648.2448.0748.2244.7547.1146.1747.3847.5749.3049.0748.6048.1249.3548.2648.7647.7048.7649.0148.9247.3748.4747.8348.7147.6447.9848.5349.2349.0349.3648.7448.5647.2148.14
32.3832.9432.0732.2131.6230.5129.8928.8429.9030.9531.3031.3731.3431.2032.9132.7733.7131.7031.0232.1731.0431.1332.1932.6832.0031.5530.7532.6331.6031.9431.1532.2731.5828.9429.2328.6730.4631.4132.5132.9531.5331.3332.6431.4832.1031.7532.4232.6332.0931.3331.6032.2332.0630.8930.3232.0332.5631.2132.1931.3331.4729.7930.49
32.3832.9432.0732.2131.6230.5129.8928.8429.9030.9531.3031.3731.3431.2032.9132.7733.7131.7031.0232.1731.0431.1332.1932.6832.0031.5530.7532.6331.6031.9431.1532.2731.5828.9429.2328.6730.4631.4132.5132.9531.5331.3332.6431.4832.1031.7532.4232.6332.0931.3331.6032.2332.0630.8930.3232.0332.5631.2132.1931.3331.4729.7930.49
---------------------------------------------------------------
-0.340.16-3.45-9.841.420.590.541.155.2310.468.8010.6211.3320.8411.2812.4213.595.568.399.4411.5410.368.868.448.018.063.965.727.445.483.265.337.773.474.76-0.585.168.488.948.959.128.211.977.599.7710.8010.5210.5411.8013.4611.1411.3013.1813.069.7510.7213.8612.4611.8012.0413.209.957.82
-0.280.11-2.85-7.601.140.540.460.894.048.126.668.238.9016.358.719.4910.414.736.797.299.028.236.766.746.636.009.084.004.773.422.043.334.872.172.98-0.373.235.265.675.615.695.141.194.776.156.996.706.597.378.496.926.998.238.096.136.738.708.127.487.638.386.574.95
0.230.250.200.240.240.270.240.270.270.290.280.290.310.330.310.310.270.290.310.330.310.360.330.340.350.370.320.340.330.360.320.350.340.380.320.330.350.340.320.340.340.340.320.320.330.350.330.330.340.370.340.370.350.370.330.340.350.350.340.340.360.350.34
1.631.851.451.741.732.011.381.581.331.661.311.441.571.811.731.731.692.811.802.081.992.472.112.172.242.661.972.412.452.642.222.402.232.861.732.091.962.111.742.101.982.111.812.081.982.001.702.052.022.191.822.091.942.291.882.072.242.222.182.382.622.662.41
0.310.330.270.320.320.360.310.350.370.390.360.380.410.430.410.430.390.420.400.420.400.420.380.400.410.440.380.390.390.430.380.410.410.460.400.400.430.420.400.420.410.420.390.390.400.430.410.410.420.450.410.450.430.460.410.420.420.430.410.410.430.430.41
294273329278279253287255246231251238222209222211232216227216227214234223220206234229229211237219219196224223211214227216218217229230223210221222215201218199209196217215212209222219208211222
-0.200.09-1.82-5.760.830.420.300.642.855.774.255.355.9210.875.476.176.003.064.354.995.685.594.434.624.584.415.702.632.942.251.192.143.101.471.79-0.211.983.163.303.423.332.960.702.693.594.354.133.894.415.233.984.354.484.483.133.424.484.103.523.684.273.272.39
-0.220.09-1.88-5.910.850.430.310.652.905.874.335.456.0211.075.586.296.133.134.355.005.695.604.444.624.584.425.712.632.952.251.192.143.101.471.80-0.211.993.173.303.423.332.970.702.693.594.354.143.904.425.243.984.364.494.493.133.434.494.113.523.694.283.272.39
-0.060.03-0.58-1.850.280.150.110.241.102.381.832.402.775.372.682.962.801.392.122.412.832.962.212.312.302.232.931.341.601.240.651.151.670.830.97-0.121.121.811.821.921.911.740.381.542.042.452.222.212.533.102.322.582.883.032.052.303.042.872.522.623.042.341.67
-0.200.09-1.82-5.760.830.420.300.642.855.774.255.355.9210.875.476.176.003.064.354.995.685.594.434.624.584.415.702.632.942.251.192.143.101.471.79-0.211.983.163.303.423.332.960.702.693.594.354.133.894.415.233.984.354.484.483.133.424.484.103.523.684.273.272.39
73.6573.6173.3974.6779.0978.2377.7577.3075.4874.7969.8867.2164.3161.3554.9152.0549.0645.7444.1442.3941.0038.8936.7535.8134.6533.6633.2831.6231.4830.6330.2129.9729.3928.3427.8327.2727.3526.8726.3925.6725.1424.3823.7923.9723.3122.4221.4120.6320.0819.6719.1718.5018.3017.8217.0716.6716.1315.5415.2114.6114.0312.8512.95
-2.34-11.57-9.88-11.92-6.84-20.67-18.96-14.53-9.15-17.47-15.14-10.19-4.49-7.73-5.66-4.29-1.073.01-1.94-1.21-0.303.520.69-0.360.061.34-0.70-0.150.360.90-1.06-1.22-0.521.65-0.610.670.001.37-0.080.060.442.33-0.170.120.13-0.14-1.500.050.121.15-0.60-0.110.121.520.160.100.270.69-0.06-0.030.071.210.67
-2.49-12.48-10.59-12.17-6.97-24.02-21.86-16.67-10.20-19.78-17.19-11.19-4.73-8.92-6.58-4.92-1.482.26-2.40-1.44-0.442.970.26-0.57-0.041.11-0.88-0.280.280.82-1.12-1.33-0.591.13-1.100.32-0.150.94-0.39-0.140.341.57-0.76-0.30-0.06-0.72-1.84-0.160.030.71-0.92-0.310.051.09-0.17-0.100.170.23-0.30-0.23-0.020.990.51