交易 Carmax - KMX CFD
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价差 | 0.12 | ||||||||
多头隔夜费
多头隔夜费
前往平台 | -0.026179% | ||||||||
空头隔夜费
空头隔夜费
前往平台 | 0.003957% | ||||||||
隔夜费时间 | 21:00 (UTC) | ||||||||
最小交易量 | 1 | ||||||||
货币 | USD | ||||||||
保证金 | 5% | ||||||||
上市交易所 | United States of America | ||||||||
交易费 | 0% |
*Information provided by Capital.com
- 上週
- 上個月
- 去年
- 過去兩年
- 最大
- 每日
- 每週
- 每月
日期 | 關閉 | 更改 | 變化 (%) | 打開 | 高 | 低 |
---|---|---|---|---|---|---|
Apr 18, 2024 | 67.83 | -0.79 | -1.15% | 68.62 | 69.60 | 67.53 |
Apr 17, 2024 | 68.45 | -1.27 | -1.82% | 69.72 | 70.06 | 68.44 |
Apr 16, 2024 | 69.74 | 0.61 | 0.88% | 69.13 | 70.06 | 68.79 |
Apr 15, 2024 | 69.41 | -1.25 | -1.77% | 70.66 | 71.64 | 68.86 |
Apr 12, 2024 | 71.34 | 0.93 | 1.32% | 70.41 | 72.36 | 70.41 |
Apr 11, 2024 | 71.42 | -1.71 | -2.34% | 73.13 | 73.89 | 68.34 |
Apr 10, 2024 | 79.13 | -1.29 | -1.60% | 80.42 | 80.74 | 78.79 |
Apr 9, 2024 | 83.29 | 1.17 | 1.42% | 82.12 | 83.88 | 82.12 |
Apr 8, 2024 | 82.78 | 0.80 | 0.98% | 81.98 | 83.71 | 81.95 |
Apr 5, 2024 | 81.42 | 1.21 | 1.51% | 80.21 | 81.80 | 79.94 |
Apr 4, 2024 | 80.59 | -2.83 | -3.39% | 83.42 | 84.19 | 80.13 |
Apr 3, 2024 | 83.54 | 0.50 | 0.60% | 83.04 | 84.12 | 82.52 |
Apr 2, 2024 | 83.73 | -0.96 | -1.13% | 84.69 | 85.13 | 83.61 |
Apr 1, 2024 | 85.84 | 0.01 | 0.01% | 85.83 | 86.27 | 84.68 |
Mar 28, 2024 | 87.00 | 0.29 | 0.33% | 86.71 | 88.05 | 86.70 |
Mar 27, 2024 | 86.95 | 1.63 | 1.91% | 85.32 | 87.15 | 85.32 |
Mar 26, 2024 | 85.67 | -0.15 | -0.17% | 85.82 | 87.15 | 85.44 |
Mar 25, 2024 | 85.67 | 0.74 | 0.87% | 84.93 | 86.66 | 84.93 |
Mar 22, 2024 | 85.44 | -0.37 | -0.43% | 85.81 | 86.35 | 85.22 |
Mar 21, 2024 | 86.34 | 2.77 | 3.31% | 83.57 | 86.97 | 83.57 |
Carmax Events
时间(协调世界时) (UTC) | 国家 | 事件 |
---|---|---|
沒有活動安排 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
總收入 | 29684.9 | 31900.4 | 18950.1 | 20320 | 18173.1 |
收入 | 29684.9 | 31900.4 | 18950.1 | 20320 | 18173.1 |
收入成本,共計 | 26884.7 | 28612.9 | 16571 | 17597.6 | 15692.5 |
毛利 | 2800.2 | 3287.54 | 2379.12 | 2722.34 | 2480.59 |
總營業費用 | 29048.1 | 30408.1 | 17984.9 | 19159 | 17060.3 |
銷售/一般/行政費用,總計 | 2487.36 | 2347.82 | 1939.07 | 1940.07 | 1730.28 |
利息費用(收入) - 淨運營 | -543.006 | -707.412 | -476.632 | -373.023 | -362.898 |
Other Operating Expenses, Total | -9.401 | -34.568 | -8.275 | -5.69 | 0.408 |
營業收入 | 636.804 | 1492.35 | 965.257 | 1160.99 | 1112.81 |
稅前淨收入 | 636.804 | 1492.35 | 965.257 | 1160.99 | 1112.81 |
稅後淨收入 | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
未計算非常項目前的淨收益 | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
淨收入 | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
普通股股東可獲收益 (不含非經常性項目) | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
普通股股東可獲收益 (含非經常性項目) | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
攤薄淨收入 | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
攤薄後加權平均股 | 159.771 | 165.176 | 165.133 | 166.82 | 175.884 |
扣除特別項目的每股攤薄盈利 | 3.03411 | 6.97012 | 4.52314 | 5.3257 | 4.78959 |
每股正常攤薄盈利 | 3.03411 | 6.86457 | 4.33429 | 5.3257 | 4.78959 |
非常規項目總計 | |||||
異常費用(收入) | -22.6 | -40.3 | |||
Depreciation / Amortization | 228.449 | 211.956 |
Aug 2023 | May 2023 | Feb 2023 | Nov 2022 | Aug 2022 | |
---|---|---|---|---|---|
總收入 | 7073.84 | 7687.06 | 5722.49 | 6505.96 | 8144.8 |
收入 | 7073.84 | 7687.06 | 5722.49 | 6505.96 | 8144.8 |
收入成本,共計 | 6377.07 | 6869.67 | 5111.51 | 5929.27 | 7407.66 |
毛利 | 696.765 | 817.39 | 610.979 | 576.688 | 737.145 |
總營業費用 | 6915.55 | 7379.82 | 5639.86 | 6455.96 | 7977.23 |
銷售/一般/行政費用,總計 | 518.494 | 559.837 | 572.849 | 591.727 | 666.041 |
Depreciation / Amortization | 58.817 | 58.419 | 57.732 | 57.377 | 57.692 |
利息費用(收入) - 淨運營 | -103.402 | -106.892 | -95.138 | -122.046 | -150.124 |
Other Operating Expenses, Total | -2.63 | -1.214 | -7.098 | -0.363 | -4.039 |
營業收入 | 158.286 | 307.24 | 82.634 | 49.993 | 167.575 |
稅前淨收入 | 158.286 | 307.24 | 82.634 | 49.993 | 167.575 |
稅後淨收入 | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
未計算非常項目前的淨收益 | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
淨收入 | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
普通股股東可獲收益 (不含非經常性項目) | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
普通股股東可獲收益 (含非經常性項目) | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
攤薄淨收入 | 118.635 | 228.298 | 69.012 | 37.58 | 125.905 |
攤薄後加權平均股 | 159.238 | 158.561 | 158.499 | 158.536 | 160.218 |
扣除特別項目的每股攤薄盈利 | 0.74502 | 1.43981 | 0.43541 | 0.23704 | 0.78584 |
Dividends per Share - Common Stock Primary Issue | 0 | 0 | 0 | 0 | |
每股正常攤薄盈利 | 1.06131 | 1.43981 | 0.43541 | 0.23704 | 0.78584 |
異常費用(收入) | 67.2 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
流動資産總額 | 5041.37 | 6549.29 | 4116.8 | 3663.69 | 3214.01 |
現金和短期投資 | 314.758 | 102.716 | 132.319 | 58.211 | 46.938 |
現金等價物 | 314.758 | 102.716 | 132.319 | 58.211 | 46.938 |
應收賬款總額,淨額 | 298.783 | 560.984 | 239.07 | 191.09 | 139.85 |
應收賬款 - 貿易,淨額 | 298.783 | 560.984 | 239.07 | 191.09 | 139.85 |
總庫存 | 3726.14 | 5124.57 | 3157.16 | 2846.42 | 2519.46 |
其他流動資産,總計 | 701.684 | 761.021 | 588.248 | 567.97 | 507.77 |
總資産 | 26182.7 | 26338.3 | 21541.5 | 21082.2 | 18717.9 |
物業/廠房/設備,總計 - 淨額 | 3976.59 | 3746.43 | 3487.22 | 3518.2 | 2828.06 |
物業/廠房/設備,總計 - 總額 | 5591.52 | 5183.97 | 4901.48 | 4785.12 | 4125.45 |
累計折舊,總計 | -1614.92 | -1437.55 | -1414.26 | -1266.92 | -1297.39 |
應收票據 - 長期 | 16341.8 | 15289.7 | 13489.8 | 13551.7 | 12428.5 |
其他長期資産,總計 | 681.729 | 611.59 | 447.711 | 348.588 | 247.309 |
流動負債總額 | 1938.31 | 2047.46 | 1698.55 | 1534.71 | 1311.51 |
應付賬款 | 826.592 | 937.717 | 799.333 | 737.144 | 593.171 |
預提費用 | 513.463 | 567.178 | 436.996 | 357.652 | 318.204 |
應付票據/短期債務 | 0 | 0 | 0 | 0.04 | 1.129 |
長期債務的當前部分/資本租賃 | 598.256 | 542.562 | 462.001 | 438.482 | 395.221 |
其他流動負債,總計 | 0 | 0.218 | 1.389 | 3.784 | |
負債總額 | 20569.7 | 21102.8 | 17176.9 | 17313.3 | 15360.8 |
長期債務總額 | 17940.3 | 18320.2 | 14740 | 15023.4 | 13776.5 |
長期債務 | 17775.1 | 18175 | 14619.9 | 14944.1 | 13776.5 |
資本租賃義務 | 165.135 | 145.179 | 120.094 | 79.327 | |
其他負債,總計 | 691.076 | 735.17 | 738.367 | 755.217 | 272.796 |
總權益 | 5613.08 | 5235.44 | 4364.61 | 3768.88 | 3357.03 |
普通股 | 79.04 | 80.527 | 81.586 | 81.541 | 83.739 |
額外實收資本 | 1713.07 | 1677.27 | 1513.82 | 1348.99 | 1237.15 |
留存收益(累計赤字) | 3723.09 | 3524.07 | 2887.9 | 2488.42 | 2104.15 |
其他權益,總計 | 97.869 | -46.422 | -118.691 | -150.071 | -68.01 |
總負債和股東權益 | 26182.7 | 26338.3 | 21541.5 | 21082.2 | 18717.9 |
已發行普通股總數 | 158.079 | 161.054 | 163.172 | 163.081 | 167.479 |
商譽,淨額 | 141.258 | 141.258 |
Aug 2023 | May 2023 | Feb 2023 | Nov 2022 | Aug 2022 | |
---|---|---|---|---|---|
流動資産總額 | 5386.37 | 5363.67 | 5041.37 | 4984.02 | 5872.46 |
現金和短期投資 | 521.098 | 264.247 | 314.758 | 688.618 | 56.772 |
現金等價物 | 521.098 | 264.247 | 314.758 | 688.618 | 56.772 |
應收賬款總額,淨額 | 271.874 | 321.994 | 298.783 | 246.794 | 402.452 |
應收賬款 - 貿易,淨額 | 271.874 | 321.994 | 298.783 | 246.794 | 402.452 |
總庫存 | 3839.29 | 4081.22 | 3726.14 | 3414.94 | 4671.69 |
其他流動資産,總計 | 754.113 | 696.207 | 701.684 | 633.668 | 741.55 |
總資産 | 27300.2 | 26962.4 | 26182.7 | 25938.9 | 26470.5 |
物業/廠房/設備,總計 - 淨額 | 4079.4 | 4041.29 | 3976.59 | 3904.78 | 3842.89 |
物業/廠房/設備,總計 - 總額 | 5266.15 | 5171.77 | 5045.84 | 4960.27 | 4857.37 |
累計折舊,總計 | -1727.47 | -1672.39 | -1614.92 | -1585.27 | -1544.77 |
商譽,淨額 | 141.258 | 141.258 | 141.258 | 141.258 | 141.258 |
應收票據 - 長期 | 16999.8 | 16744.9 | 16341.8 | 16240.8 | 15961.2 |
其他長期資産,總計 | 693.381 | 671.273 | 681.729 | 668.052 | 652.723 |
流動負債總額 | 2320.39 | 2113.97 | 1938.31 | 1937.05 | 2132.19 |
應付賬款 | 932.068 | 967.42 | 826.592 | 802.78 | 928.749 |
預提費用 | 548.881 | 564.685 | 513.463 | 529.265 | 514.137 |
應付票據/短期債務 | 0 | 0 | 0 | 0 | 0 |
長期債務的當前部分/資本租賃 | 839.336 | 532.675 | 598.256 | 605.007 | 689.303 |
其他流動負債,總計 | 0.103 | 49.191 | |||
負債總額 | 21294.5 | 21139.2 | 20569.7 | 20451.4 | 21056.3 |
長期債務總額 | 18284.8 | 18335.1 | 17940.3 | 17802.9 | 18203.5 |
長期債務 | 18084.4 | 18159.5 | 17775.1 | 17640.7 | 18046.2 |
資本租賃義務 | 200.425 | 175.683 | 165.135 | 162.264 | 157.32 |
其他負債,總計 | 689.267 | 690.08 | 691.076 | 711.37 | 720.589 |
總權益 | 6005.66 | 5823.17 | 5613.08 | 5487.57 | 5414.23 |
普通股 | 79.328 | 79.105 | 79.04 | 79.01 | 79.022 |
額外實收資本 | 1777.71 | 1731.34 | 1713.07 | 1697.06 | 1684.41 |
留存收益(累計赤字) | 4070.03 | 3951.39 | 3723.09 | 3654.08 | 3618.8 |
其他權益,總計 | 78.597 | 61.33 | 97.869 | 57.42 | 31.999 |
總負債和股東權益 | 27300.2 | 26962.4 | 26182.7 | 25938.9 | 26470.5 |
已發行普通股總數 | 158.656 | 158.209 | 158.079 | 158.019 | 158.044 |
- 年度
- 每季度
2023 | 2022 | 2021 | 2020 | 2019 | |
---|---|---|---|---|---|
净收入/起跑线 | 484.762 | 1151.3 | 746.919 | 888.433 | 842.413 |
经营活动产生的现金 | 1283.33 | -2549.45 | 667.76 | -236.606 | 162.971 |
经营活动产生的现金 | 265.224 | 273.188 | 242.156 | 215.811 | 182.247 |
Deferred Taxes | -6.55 | 15 | -35.787 | -1.102 | 2.3 |
非现金物品 | 505.515 | 346.678 | 353.428 | 387.335 | 295.621 |
Cash Taxes Paid | 152.626 | 373.234 | 247.748 | 286.008 | 220.669 |
已付现金利息 | 122.147 | 91.686 | 86.437 | 85.607 | 74.204 |
营运资金的变化 | 34.381 | -4335.61 | -638.956 | -1727.08 | -1159.61 |
投资活动产生的现金 | -425.766 | -523.745 | -128.183 | -389.364 | -308.513 |
资本支出 | -422.71 | -308.534 | -164.536 | -331.896 | -304.636 |
其他投资现金流量项目,总计 | -3.056 | -215.211 | 36.353 | -57.468 | -3.877 |
融资活动产生的现金 | -710.18 | 3104.87 | -424.02 | 686.983 | 186.021 |
融资现金流项目 | -19.781 | -20.132 | -18.296 | -20.102 | -17.063 |
股票的发行(报废),净额 | -316.839 | -496.673 | -86.79 | -443.35 | -846.596 |
债务的发行(退还),净额 | -373.56 | 3621.67 | -318.934 | 1150.44 | 1049.68 |
现金净变化 | 147.386 | 31.671 | 115.557 | 61.013 | 40.479 |
May 2023 | Feb 2023 | Nov 2022 | Aug 2022 | May 2022 | |
---|---|---|---|---|---|
Net income/Starting Line | 228.298 | 484.762 | 415.75 | 378.17 | 252.265 |
Cash From Operating Activities | -185.285 | 1283.33 | 1662.08 | 479.589 | 530.952 |
Cash From Operating Activities | 62.998 | 265.224 | 202.655 | 137.903 | 70.473 |
Deferred Taxes | -7.127 | -6.55 | -2.178 | 0.8 | 11.561 |
Non-Cash Items | 144.32 | 505.515 | 372.744 | 249.274 | 117.344 |
Changes in Working Capital | -613.774 | 34.381 | 673.106 | -286.558 | 79.309 |
Cash From Investing Activities | -136.759 | -425.766 | -318.654 | -207.315 | -99.038 |
Capital Expenditures | -136.719 | -422.71 | -319.486 | -204.463 | -94.808 |
Other Investing Cash Flow Items, Total | -0.04 | -3.056 | 0.832 | -2.852 | -4.23 |
Cash From Financing Activities | 306.595 | -710.18 | -827.008 | -322.229 | -454.957 |
Financing Cash Flow Items | -3.608 | -19.781 | -13.987 | -10.24 | -3.94 |
Issuance (Retirement) of Stock, Net | -2.942 | -316.839 | -320.31 | -311.886 | -159.531 |
Issuance (Retirement) of Debt, Net | 313.145 | -373.56 | -492.711 | -0.103 | -291.486 |
Net Change in Cash | -15.449 | 147.386 | 516.415 | -49.955 | -23.043 |
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12800 Tuckahoe Creek Pkwy
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