Karooooo Ltd. (KARO)
NASDAQ: KARO · Real-Time Price · USD
48.64
-0.25 (-0.50%)
At close: Feb 13, 2026, 4:00 PM EST
48.57
-0.06 (-0.13%)
After-hours: Feb 13, 2026, 4:10 PM EST

Karooooo Balance Sheet

Millions ZAR. Fiscal year is Mar - Feb.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Nov '25 Feb '25 Feb '24 Feb '23 Feb '22 Feb '21
Cash & Equivalents
575.281,043459.53965.79731.75104.94
Short-Term Investments
-----7.85
Cash & Short-Term Investments
575.281,043459.53965.79731.75112.79
Cash Growth
-37.59%126.95%-52.42%31.98%548.77%-26.11%
Accounts Receivable
675.76597.46985.4336.2333.89253.14
Other Receivables
13.9812.628.7181.628.8229.53
Receivables
689.74610.08994.11417.82342.7282.67
Inventory
5.323.836.5879.1625.37-
Prepaid Expenses
-----49.06
Restricted Cash
-----882.42
Other Current Assets
----15.31-
Total Current Assets
1,2701,6571,4601,4631,1151,327
Property, Plant & Equipment
3,0172,5082,0331,5921,3911,137
Goodwill
173.12174.96227.38212.48186.38124.15
Other Intangible Assets
83.5310.0911.5117.3417.295.7
Long-Term Deferred Tax Assets
131.55121.7581.960.9258.3847.05
Long-Term Deferred Charges
-72.9671.6268.359.7453.64
Other Long-Term Assets
514.24505.68393.35312.16242.62201.08
Total Assets
5,2195,0794,3073,7523,0902,915
Accounts Payable
624.87216219.54150.4899.3591.42
Accrued Expenses
-212.11197.38166.35146.09168.81
Short-Term Debt
43.93205.4424.290.6515.86920.82
Current Portion of Long-Term Debt
260.17283.316.5321.6418.165.46
Current Portion of Leases
124.1477.4563.0652.8547.2938.4
Current Income Taxes Payable
72.6457.0473.385640.9225.62
Current Unearned Revenue
387.35357.78325.85283.68218.15161.11
Other Current Liabilities
-42.7230.4257.838.3122.64
Total Current Liabilities
1,5131,452940.44789.44624.121,434
Long-Term Debt
42.8731.6441.6538.371.1910.47
Long-Term Leases
164.95127.25131.2967.8864.7860.28
Long-Term Unearned Revenue
126.75126.96121.3112.19108.2685.66
Long-Term Deferred Tax Liabilities
135.9995.8969.8451.8947.0642.02
Total Liabilities
1,9841,8341,3051,060915.421,633
Common Stock
7,1437,1437,1437,1437,1432,740
Retained Earnings
2,1902,1121,8031,5651,277815.22
Treasury Stock
---23.82---
Comprehensive Income & Other
-6,148-6,052-5,961-6,047-6,268-2,700
Total Common Equity
3,1853,2022,9622,6612,151855.31
Minority Interest
50.4843.140.9430.9122.91427.13
Shareholders' Equity
3,2353,2463,0022,6922,1741,282
Total Liabilities & Equity
5,2195,0794,3073,7523,0902,915
Total Debt
636.06725.09266.81181.32217.281,035
Net Cash (Debt)
-60.78317.8192.72784.47514.46-922.64
Net Cash Growth
-64.90%-75.43%52.48%--
Net Cash Per Share
-1.9710.296.2325.3517.42-45.38
Filing Date Shares Outstanding
30.8930.8930.930.9530.9530.95
Total Common Shares Outstanding
30.8930.8930.930.9530.9520.33
Working Capital
-242.77204.95519.78673.33491-107.33
Book Value Per Share
103.09103.6695.8485.9769.5142.07
Tangible Book Value
2,9283,0172,7232,4311,948725.47
Tangible Book Value Per Share
94.7897.6788.1178.5562.9235.68
Land
-484.8153.96147.61141.8735.82
Machinery
-4,4933,6822,9502,4462,110
Construction In Progress
-152.25397.38278.94142.57104.48
Updated Nov 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q