CARMAX INC (KMX) — Operating Cash Flow

Annual figures by fiscal year, from SEC filings.

2009: $264.59M2010: $59.52M2011: -$6.76M2012: -$62.16M2018: -$80.55M2019: $162.97M2020: -$236.61M2021: $667.76M2022: -$2.55B2023: $1.28B2024: $458.62M2025: $624.44M2026: $1.78B$1.78B
2009Operating Cash Flow (USD)2026
Fiscal YearOperating Cash FlowChange YoY
2026$1.78B+185.7%
2025$624.44M+36.2%
2024$458.62M-64.3%
2023$1.28B+150.3%
2022-$2.55B-481.8%
2021$667.76M+382.2%
2020-$236.61M-245.2%
2019$162.97M+302.3%
2018-$80.55M
2012-$62.16M-819.9%
2011-$6.76M-111.4%
2010$59.52M-77.5%
2009$264.59M