Recent Annual Filings for CPRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,427,764,000 $4,236,823,000 $2,664,800,000 $1,360,381,000 $1,472,564,000 $19,273,000 $556,716,000
2023 $6,737,879,000 $3,869,518,000 $2,382,949,000 $1,266,100,000 $1,364,210,000 $66,615,000 $-426,841,000
2022 $5,308,864,000 $3,500,921,000 $2,159,967,000 $1,176,683,000 $-382,693,000 $335,976,000
2021 $4,562,143,000 $2,692,511,000 $1,570,665,000 $990,891,000 $40,922,000 $570,542,000
2020 $3,455,261,000 $2,205,583,000 $1,404,744,000 $711,348,000 $917,885,000 $-27,414,000 $291,399,000
2019 $2,547,617,000 $2,041,957,000 $1,337,006,000 $567,092,000 $646,646,000 $-370,304,000 $-88,201,000
2018 $2,307,698,000 $1,805,695,000 $1,243,184,000 $410,615,000 $535,069,000 $-182,038,000 $64,420,000
2017 $1,982,501,000 $1,447,981,000 $1,007,881,000 $402,745,000 $492,058,000 $-106,975,000 $54,251,000