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COPART INC Operating Cash Flow 2009-2026 | CPRT

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What is operating cash flow?

Operating cash flow can be defined as the cash generated from a company's normal business operations, reflecting the ability to generate cash from core activities.

What is COPART INC's current operating cash flow?

COPART INC (CPRT) annual operating cash flow for 2025 was $1.80B, a 22.22% increase from 2024. COPART INC operating cash flow for the quarter ending April 30, 2026 was $584.2M.

What was COPART INC's operating cash flow in 2024?

COPART INC annual operating cash flow for 2024 was $1.47B, a 7.94% increase from 2023.

What was COPART INC's operating cash flow in 2023?

COPART INC annual operating cash flow for 2023 was $1.36B, a 15.94% increase from 2022.

What is COPART INC's 5-year operating cash flow CAGR?

COPART INC operating cash flow grew at a compound annual growth rate (CAGR) of 14.42% from FY2020 to FY2025, going from $917.9M to $1.80B over 5 years.

Operating Cash Flow History

Year-over-year comparison from 10-K annual reports

Key Statistics
Trend Direction
Growing
CAGR+14.4%
FY2020
$917.9M
FY2025
$1.80B
0910111213141516171819202122232425
5 years selected
Operating Cash Flow History
PeriodValueChangeSource
FY2025$1.80B+22.2%10-K
FY2024$1.47B+7.9%10-K
FY2023$1.36B+15.9%10-K
FY2022$1.18B+18.7%10-K
FY2021$990.9M+8.0%10-K
FY2020$917.9M+41.9%10-K
FY2019$646.6M+20.9%10-K
FY2018$535.1M+8.7%10-K
FY2017$492.1M+48.0%10-K
FY2016$332.5M+25.4%10-K
FY2015$265.1M+0.9%10-K
FY2014$262.6M+31.7%10-K
FY2013$199.3M-13.2%10-K
FY2012$229.7M-5.5%10-K
FY2011$242.9M+21.8%10-K
FY2010$199.4M-1.9%10-K
FY2009$203.3M-10-K
Company: COPART INCTicker: CPRTSector: ConsumerIndustry: Retail-Auto Dealers & Gasoline StationsView company profile →