CarMax Financial Ratios for Analysis 2009-2024 | KMX

Fifteen years of historical annual and quarterly financial ratios and margins for CarMax (KMX).

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
2.262.603.202.422.392.452.612.602.462.603.023.382.872.703.262.62
0.750.760.780.770.800.800.790.790.780.740.690.670.650.650.010.10
3.093.273.573.454.084.223.963.913.662.892.292.061.891.960.080.21
10.229.4310.3112.5513.4013.6513.6013.7513.3313.2313.1113.3613.7814.5014.7113.88
2.852.524.865.506.096.546.626.706.996.996.606.687.007.166.451.45
2.852.524.865.506.096.546.626.706.996.996.606.687.007.166.451.45
3.833.415.726.787.167.557.677.767.907.807.417.557.838.017.462.23
2.422.154.685.095.716.126.216.346.676.796.346.406.676.785.981.39
1.811.633.613.944.374.643.883.954.124.193.923.964.144.193.690.84
0.981.131.210.880.960.970.980.981.051.081.071.111.201.262.922.93
6.487.225.585.256.186.236.196.066.805.936.666.267.897.317.568.54
12099.3556.8779.2710613012810411510415711911675.0511.4616.44
3.043.676.424.603.432.812.843.503.183.522.323.063.154.8631.8522.20
7.898.6421.9917.1123.5725.0920.0220.1721.4618.9214.8514.3815.4816.8614.373.72
8.088.8622.6017.1223.5725.0920.0220.1721.4618.9214.8514.3815.4816.8614.373.72
1.761.854.373.474.214.503.803.854.314.534.214.394.975.3010.872.49
1.992.074.923.934.754.924.134.204.714.994.624.815.495.8214.173.34
38.5435.5132.5126.7523.1120.0418.4516.6614.9215.1114.9613.3611.779.918.677.23
2.898.03-15.434.04-1.420.93-0.44-2.37-0.57-4.43-2.69-3.36-0.27-0.030.271.21
-0.035.42-17.303.06-3.41-0.80-2.05-4.54-2.10-5.82-4.04-4.37-1.02-0.370.170.52

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
2024-05-312024-02-292023-11-302023-08-312023-05-312023-02-282022-11-302022-08-312022-05-312022-02-282021-11-302021-08-312021-05-312021-02-282020-11-302020-08-312020-05-312020-02-292019-11-302019-08-312019-05-312019-02-282018-11-302018-08-312018-05-312018-02-282017-11-302017-08-312017-05-312017-02-282016-11-302016-08-312016-05-312016-02-292015-11-302015-08-312015-05-312015-02-282014-11-302014-08-312014-05-312014-02-282013-11-302013-08-312013-05-312013-02-282012-11-302012-08-312012-05-312012-02-292011-11-302011-08-312011-05-312011-02-282010-11-302010-08-312010-05-312010-02-282009-11-302009-08-312009-05-312009-02-28
2.502.262.452.322.542.602.572.752.723.202.902.742.242.422.602.712.852.392.432.422.212.452.502.352.302.612.702.332.342.602.612.542.232.462.852.502.672.602.772.772.743.023.423.403.463.383.623.733.122.873.103.052.672.702.852.542.033.263.262.742.272.62
0.750.750.750.750.760.760.760.770.770.780.770.770.760.770.780.790.800.800.800.800.800.800.800.790.790.790.790.790.790.790.790.780.780.780.780.750.740.740.730.700.700.690.680.680.680.670.650.640.640.650.620.620.620.650.640.650.660.010.010.090.100.10
3.043.093.133.153.213.273.323.463.413.573.523.493.333.453.623.834.154.084.064.104.194.224.043.903.923.963.943.943.893.913.923.753.653.663.643.062.902.892.772.452.392.292.222.222.182.061.901.851.841.891.701.701.721.961.861.951.990.080.080.220.260.21
11.1310.429.979.8510.6310.688.869.059.409.259.8110.2112.0112.4212.1814.0010.9713.5612.8113.3313.8313.8813.2513.6513.8013.1413.1313.7714.2913.8813.5913.6413.8813.2013.1013.4213.5413.5413.1212.8713.3812.4912.9813.4013.5313.0613.2713.3413.7713.6613.4113.6914.3014.2314.0614.9114.7514.4714.0715.1515.0615.66
3.351.622.292.654.381.821.232.413.952.984.364.867.305.306.357.620.976.055.076.286.876.356.276.447.075.615.907.007.816.416.376.887.106.696.187.447.556.726.457.187.545.456.167.277.406.366.166.857.336.496.207.277.887.446.327.547.278.106.758.122.644.18
3.351.622.292.654.381.821.232.413.952.984.364.867.305.306.357.620.976.055.076.286.876.356.276.447.075.615.907.007.816.416.376.887.106.696.187.447.556.726.457.187.545.456.167.277.406.366.166.857.336.496.207.277.887.446.327.547.278.106.758.122.644.18
--------------------------------------------------------------
2.901.161.802.244.001.440.772.063.612.624.174.607.375.085.997.230.135.574.755.876.555.925.776.076.675.145.486.627.445.985.936.556.856.105.877.207.376.636.196.967.335.195.897.007.176.095.866.577.056.175.826.957.566.016.297.487.276.316.728.062.594.14
2.140.891.331.682.971.210.581.552.712.083.163.575.674.074.545.520.154.333.614.494.974.464.434.634.982.993.624.144.663.773.694.064.253.813.624.434.534.073.824.294.523.233.624.324.433.793.644.054.353.853.634.304.683.813.874.594.453.874.294.921.552.50
0.260.210.230.260.290.220.250.310.350.290.330.330.340.240.250.250.160.240.230.260.270.230.230.260.270.230.240.260.280.250.230.260.280.260.250.280.290.270.270.290.310.260.260.300.320.290.280.310.320.300.300.350.370.320.320.360.360.720.720.800.720.62
1.681.371.521.661.681.371.741.591.801.361.651.752.081.431.641.641.511.511.561.731.811.481.541.751.831.481.461.691.811.541.471.801.911.661.431.761.881.461.511.841.931.641.642.062.051.621.692.001.981.961.932.102.061.841.822.142.161.861.972.231.991.76
33.5025.4428.9526.0223.8719.1526.3620.2415.2513.7015.1415.4418.6321.6030.6826.4422.2625.9733.5636.8640.0830.8838.6545.4447.2930.6342.8543.9843.3726.5840.2342.2640.2428.0440.0338.5338.7325.5238.6233.0638.3438.4943.2437.9447.0030.7541.5339.1642.2328.6441.4639.9131.5018.8432.0935.4926.642.812.933.673.613.47
2.693.543.113.463.774.703.414.455.906.575.945.834.834.172.933.404.043.472.682.442.252.912.331.981.902.942.102.052.083.392.242.132.243.212.252.342.323.532.332.722.352.342.082.371.922.932.172.302.133.142.172.262.864.782.812.543.3832.0030.7424.5024.9225.96
2.470.831.361.983.921.230.682.334.673.055.275.809.294.815.707.450.145.704.686.477.735.745.546.347.053.684.515.676.724.914.535.305.904.864.405.365.564.534.094.605.102.993.244.404.773.553.133.784.283.563.114.365.163.853.775.215.163.704.045.901.772.36
2.530.851.392.024.021.260.702.394.803.145.425.999.294.815.707.450.145.704.686.477.735.745.546.347.053.684.515.676.724.914.535.305.904.864.405.365.564.534.094.605.102.993.244.404.773.553.133.784.283.563.114.365.163.853.775.215.163.704.045.901.772.36
0.560.180.300.430.850.260.140.480.960.611.051.171.910.971.121.400.021.020.851.161.351.031.031.221.340.700.861.081.280.940.871.051.190.980.891.231.331.081.011.251.400.850.941.281.401.081.021.261.401.141.081.511.751.211.231.641.592.803.093.981.131.58
0.630.210.340.490.950.300.160.541.090.681.191.322.201.111.261.580.031.150.951.301.531.121.121.331.470.760.931.181.401.020.941.141.301.070.971.351.461.201.111.371.540.931.031.401.531.191.101.361.541.261.181.651.941.331.351.811.783.653.985.361.592.12
39.4438.5438.2537.8536.8135.5134.7334.2633.8432.5131.5730.2528.8926.7525.3224.2621.9923.1122.5821.9020.8820.0420.0019.8619.1518.4518.1917.6017.1416.6616.0916.0315.4414.9214.7415.6715.6915.1115.0915.5015.2414.9614.7314.2613.7213.3613.2512.9112.3511.7711.6411.2710.759.919.689.248.758.678.307.907.397.23
-0.752.890.94-0.38-1.178.0310.482.993.28-15.43-12.63-8.36-0.674.045.245.377.64-1.42-0.71-0.750.260.930.650.621.29-0.44-1.050.441.02-2.37-1.76-0.170.45-0.57-1.88-0.400.56-4.43-3.62-1.98-0.93-2.69-2.17-1.16-0.34-3.36-2.15-1.23-0.50-0.270.03-0.330.11-0.03-0.10-0.040.250.270.25-0.23-0.361.21
-1.41-0.03-1.29-1.70-2.025.428.491.722.70-17.30-14.01-9.19-1.033.064.504.827.26-3.41-2.20-1.77-0.21-0.80-0.73-0.330.84-2.05-2.29-0.400.60-4.54-3.41-1.28-0.05-2.10-3.05-1.090.28-5.82-4.69-2.56-1.18-4.04-3.08-1.73-0.50-4.37-2.94-1.68-0.70-1.02-0.43-0.68-0.03-0.37-0.27-0.110.210.170.17-0.30-0.390.52