CARMAX INC (KMX)

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CIK 0001170010 · NYSE · Retail-Auto Dealers & Gasoline Stations

  • Sector Retail Trade
  • Incorporated VA
  • Fiscal year ends Feb 28

In fiscal 2026, CARMAX INC reported revenue of $25.88B, down 1.8% from the prior year. The company was profitable, with a net margin of 1.0% and a gross margin of 10.8%. It held $26.37B in total assets against $20.48B in total liabilities.

Key ratios (FY2026)

10.8%
Gross margin
1.0%
Net margin
4.2%
Return on equity
-1.8%
Revenue growth (YoY)
Metric (FY)2026202520242023202220212020201920182017
Revenue$25.88B$26.35B$26.54B$29.68B$31.90B$18.95B$20.32B$18.17B$17.12B$15.88B
Cost of Revenue$23.07B$23.46B$23.82B$26.88B$28.61B$16.57B$17.60B$15.69B$14.79B$13.69B
Gross Profit$2.81B$2.90B$2.71B$2.80B$3.29B$2.38B$2.72B$2.48B$2.33B$2.18B
Net Income$247.29M$500.56M$479.20M$484.76M$1.15B$746.92M$888.43M$842.41M$664.11M$626.97M
EPS (Diluted)$1.68$3.21$3.02$3.03$6.97$4.52$5.33$4.79$3.60$3.26
Total Assets$26.37B$27.40B$27.20B$26.18B$26.34B$21.54B$21.08B$18.72B$17.49B$16.28B
Total Liabilities$20.48B$21.16B$21.12B$20.57B$21.10B$17.18B$17.31B$15.36B$14.17B$13.17B
Shareholders' Equity$5.89B$6.24B$6.07B$5.61B$5.24B$4.36B$3.77B$3.36B$3.32B$3.11B
Cash & Equivalents$122.83M$246.96M$574.14M$314.76M$102.72M$132.32M$58.21M$46.94M$44.52M$38.42M
Operating Cash Flow$1.78B$624.44M$458.62M$1.28B-$2.55B$667.76M-$236.61M$162.97M-$80.55M
Capital Expenditures$540.99M$467.94M$465.31M$422.71M$308.53M$164.54M$331.90M$304.64M$296.82M$418.14M
Shares Outstanding147.61M156.06M158.71M159.77M165.18M165.13M166.82M175.88M184.47M192.22M