Karooooo Ltd. (KARO)
NASDAQ: KARO · IEX Real-Time Price · USD
29.51
-1.48 (-4.78%)
Apr 25, 2024, 4:30 PM EDT - Market closed

Karooooo Balance Sheet

Millions ZAR. Fiscal year is Mar - Feb.
Year 2022202120202019
Cash & Equivalents
965.79731.75104.94146.59
Short-Term Investments
015.31882.4211.01
Cash & Cash Equivalents
965.79747.05987.36157.6
Cash Growth
29.28%-24.34%526.48%-
Receivables
409.19333.89324.17251.75
Inventory
79.1625.370151.62
Other Current Assets
8.638.8215.416.51
Total Current Assets
1,4631,1151,327567.48
Property, Plant & Equipment
1,5921,3911,137854.51
Long-Term Investments
26.1920.7619.40
Goodwill and Intangibles
298.12263.42183.49172.24
Other Long-Term Assets
372.69299.64248.12251.03
Total Long-Term Assets
2,2891,9741,5881,278
Total Assets
3,7523,0902,9151,845
Accounts Payable
374.05281.87281.88170.97
Deferred Revenue
395.87326.4246.77208.78
Current Debt
75.1481.31964.6858.37
Other Current Liabilities
-55.61-65.45-59.06-31.17
Total Current Liabilities
789.44624.121,434406.95
Long-Term Debt
106.19135.9870.7571.96
Other Long-Term Liabilities
164.08155.32127.68141.21
Total Long-Term Liabilities
270.27291.3198.43213.17
Total Liabilities
1,060915.421,633620.12
Total Debt
181.32217.281,035130.33
Debt Growth
-16.55%-79.02%694.48%-
Retained Earnings
1,5651,277815.22835.98
Comprehensive Income
245.1128.789.7111.85
Shareholders' Equity
2,6612,151855.31878.22
Net Cash / Debt
784.47529.77-48.0727.28
Net Cash / Debt Growth
48.08%---
Working Capital
673.33491-107.33160.53
Book Value Per Share
85.9769.5142.06-
Source: Financials are provided by Nasdaq Data Link and sourced from audited reports submitted to the Securities and Exchange Commission (SEC).