Recent Annual Filings for KMX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $27,404,206,000 $26,353,420,000 $25,684,060,000 $444,357,000 $624,439,000 $-453,537,000 $-290,100,000
2024 $27,196,797,000 $26,536,040,000 $25,894,445,000 $440,614,000 $458,617,000 $307,787,000 $299,406,000
2023 $26,182,736,000 $29,684,873,000 $29,048,069,000 $629,053,000 $1,283,332,000 $-710,180,000 $147,386,000
2022 $26,338,264,000 $31,900,412,000 $30,408,066,000 $1,223,566,000 $-2,549,450,000 $3,104,866,000 $31,671,000
2021 $21,541,541,000 $18,950,149,000 $17,984,892,000 $778,299,000 $667,760,000 $-424,020,000 $115,557,000
2020 $21,082,182,000 $20,319,987,000 $19,159,001,000 $806,372,000 $-236,606,000 $686,983,000 $61,013,000
2019 $18,717,867,000 $18,173,100,000 $17,060,294,000 $828,715,000 $162,971,000 $186,021,000 $40,479,000
2018 $17,486,272,000 $17,120,209,000 $16,056,601,000 $676,935,000 $-80,550,000 $413,446,000 $6,109,000