Cash Flow for CPRT - findataslice
 COPART INC
Q4-CY2025Q3-CY2025Q2-CY2025Q1-CY2025Q4-CY2024Q3-CY2024Q2-CY2024Q1-CY2024Q4-CY2023Q3-CY2023Q2-CY2023Q1-CY2023Q4-CY2022Q3-CY2022Q2-CY2022Q1-CY2022Q4-CY2021Q3-CY2021Q2-CY2021Q1-CY2021Q4-CY2020Q3-CY2020Q2-CY2020Q1-CY2020Q4-CY2019Q3-CY2019Q2-CY2019Q1-CY2019Q4-CY2018Q3-CY2018Q2-CY2018Q1-CY2018Q4-CY2017Q3-CY2017Q2-CY2017Q1-CY2017Q4-CY2016Q3-CY2016Q2-CY2016Q1-CY2016Q4-CY2015Q3-CY2015Q2-CY2015Q1-CY2015Q4-CY2014Q3-CY2014Q2-CY2014Q1-CY2014Q4-CY2013
Balance Sheet Date2025-Jul-312025-Apr-302025-Jan-312024-Oct-312024-Jul-312024-Apr-302024-Jan-312023-Oct-312023-Jul-312023-Apr-302023-Jan-312022-Oct-312022-Jul-312022-Apr-302022-Jan-312021-Oct-312021-Jul-312021-Apr-302021-Jan-312020-Oct-312020-Jul-312020-Apr-302020-Jan-312019-Oct-312019-Jul-312019-Apr-302019-Jan-312018-Oct-312018-Jul-312018-Apr-302018-Jan-312017-Oct-312017-Jul-312017-Apr-302017-Jan-312016-Oct-312016-Jul-312016-Apr-302016-Jan-312015-Oct-312015-Jul-312015-Apr-302015-Jan-312014-Oct-312014-Jul-312014-Apr-302014-Jan-31
Fiscal PeriodQ4-FY2025Q3-FY2025Q2-FY2025Q1-FY2025Q4-FY2024Q3-FY2024Q2-FY2024Q1-FY2024Q4-FY2023Q3-FY2023Q2-FY2023Q1-FY2023Q4-FY2022Q3-FY2022Q2-FY2022Q1-FY2022Q4-FY2021Q3-FY2021Q2-FY2021Q1-FY2021Q4-FY2020Q3-FY2020Q2-FY2020Q1-FY2020Q4-FY2019Q3-FY2019Q2-FY2019Q1-FY2019Q4-FY2018Q3-FY2018Q2-FY2018Q1-FY2018Q4-FY2017Q3-FY2017Q2-FY2017Q1-FY2017Q4-FY2016Q3-FY2016Q2-FY2016Q1-FY2016Q4-FY2015Q3-FY2015Q2-FY2015Q1-FY2015Q4-FY2014Q3-FY2014Q2-FY2014
Operating Cash Flow438,476,000$700,873,000$178,127,000$482,274,000$439,221,000$496,304,000$161,793,000$375,246,000$358,577,000$505,800,000$188,274,000$311,559,000$312,829,000$417,306,000$134,008,000$312,540,000$228,686,000$369,164,000$134,508,000$258,533,000$266,917,000$294,048,000$144,462,000$212,458,000$193,150,000$238,292,000$107,521,000$107,683,000$
Investing Cash Flow(28,399,000$)(1,686,557,000$)(574,720,000$)1,702,228,000$(23,585,000$)(668,814,000$)(1,483,005,000$)1,235,325,000$(1,563,290,000$)(86,390,000$)(89,899,000$)(152,470,000$)15,260,000$72,713,000$(466,400,000$)(63,883,000$)(101,670,000$)(80,711,000$)(136,263,000$)(146,822,000$)(112,363,000$)(90,132,000$)(267,203,000$)(131,510,000$)(114,114,000$)(122,914,000$)(57,713,000$)(61,526,000$)
Financing Cash Flow7,934,000$6,460,000$35,576,000$2,137,000$8,384,000$4,441,000$(959,000$)7,407,000$15,595,000$35,686,000$14,575,000$759,000$(401,271,000$)2,484,000$10,928,000$5,166,000$9,113,000$5,226,000$7,385,000$19,198,000$15,166,000$8,693,000$37,461,000$(88,734,000$)12,525,000$(119,826,000$)(264,230,000$)1,227,000$
End Cash Position2,780,531,000$2,366,499,000$3,338,909,000$3,698,118,000$1,514,111,000$1,089,995,000$1,256,948,000$2,581,567,000$957,395,000$2,114,183,000$1,660,952,000$1,539,391,000$1,384,236,000$1,454,818,000$971,651,000$1,298,373,000$1,048,260,000$911,890,000$616,403,000$605,732,000$477,718,000$306,387,000$93,511,000$181,102,000$186,319,000$102,826,000$108,174,000$320,309,000$274,520,000$204,275,000$204,275,000$224,246,000$210,100,000$189,621,000$174,952,000$168,421,000$155,849,000$137,653,000$141,416,000$472,916,000$456,012,000$678,742,000$590,366,000$198,484,000$158,668,000$132,832,000$46,199,000$
Exchange Rate Effect(3,979,000$)6,814,000$1,808,000$(2,632,000$)96,000$1,116,000$(2,448,000$)6,194,000$32,330,000$(1,865,000$)8,611,000$(4,693,000$)2,600,000$(5,258,000$)(3,710,000$)241,000$
Dividends Paid