annual CFF:
-$453.54M-$761.32M(-247.35%)Summary
- As of today (May 29, 2025), KMX annual cash flow from financing activities is -$453.54 million, with the most recent change of -$761.32 million (-247.35%) on February 28, 2025.
- During the last 3 years, KMX annual CFF has fallen by -$3.56 billion (-114.61%).
- KMX annual CFF is now -114.61% below its all-time high of $3.10 billion, reached on February 1, 2022.
Performance
KMX Cash from financing Chart
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quarterly CFF:
-$48.83M+$72.82M(+59.86%)Summary
- As of today (May 29, 2025), KMX quarterly cash flow from financing activities is -$48.83 million, with the most recent change of +$72.82 million (+59.86%) on February 28, 2025.
- Over the past year, KMX quarterly CFF has increased by +$160.70 million (+76.70%).
- KMX quarterly CFF is now -103.77% below its all-time high of $1.29 billion, reached on August 31, 2021.
Performance
KMX quarterly CFF Chart
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TTM CFF:
-$453.54M+$160.70M(+26.16%)Summary
- As of today (May 29, 2025), KMX TTM cash flow from financing activities is -$453.54 million, with the most recent change of +$160.70 million (+26.16%) on February 28, 2025.
- Over the past year, KMX TTM CFF has dropped by -$761.32 million (-247.35%).
- KMX TTM CFF is now -114.61% below its all-time high of $3.10 billion, reached on February 28, 2022.
Performance
KMX TTM CFF Chart
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Cash from financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
KMX Cash from financing Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1 y1 year | -247.3% | +76.7% | -247.3% |
3 y3 years | -114.6% | -108.2% | -114.6% |
5 y5 years | -166.0% | -117.6% | -166.0% |
KMX Cash from financing Highs & Lows
PeriodPeriod | Annual vs highAnnual vs high | Annual vs lowAnnual vs low | Quarter. vs highQuarter. vs high | Quarter. vs lowQuarter. vs low | TTM vs highTTM vs high | TTM vs lowTTM vs low | |
---|---|---|---|---|---|---|---|
3 y | 3-year | -114.6% | +36.1% | -108.2% | +90.3% | -114.6% | +36.1% |
5 y | 5-year | -114.6% | +36.1% | -103.8% | +91.6% | -114.6% | +36.1% |
alltime | all time | -114.6% | +36.1% | -103.8% | +91.6% | -114.6% | +36.1% |
KMX Cash from financing History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Feb 2025 | -$453.54M(-247.4%) | -$48.83M(-59.9%) | -$453.54M(-26.2%) |
Nov 2024 | - | -$121.64M(-28.7%) | -$614.24M(+17.6%) |
Aug 2024 | - | -$170.68M(+51.9%) | -$522.24M(+369.7%) |
May 2024 | - | -$112.38M(-46.4%) | -$111.19M(-136.1%) |
Feb 2024 | $307.79M(-143.3%) | -$209.53M(+606.7%) | $307.79M(-51.5%) |
Nov 2023 | - | -$29.65M(-112.3%) | $634.14M(+298.8%) |
Aug 2023 | - | $240.37M(-21.6%) | $159.01M(+209.5%) |
May 2023 | - | $306.60M(+162.4%) | $51.37M(-107.2%) |
Feb 2023 | - | $116.83M(-123.1%) | -$710.18M(+208.7%) |
Feb 2023 | -$710.18M(-122.9%) | - | - |
Nov 2022 | - | -$504.78M(-480.3%) | -$230.08M(-122.7%) |
Aug 2022 | - | $132.73M(-129.2%) | $1.01B(-53.4%) |
May 2022 | - | -$454.96M(-176.2%) | $2.17B(-30.0%) |
Feb 2022 | - | $596.92M(-19.2%) | $3.10B(+18.6%) |
Feb 2022 | $3.10B(-832.2%) | - | - |
Nov 2021 | - | $738.77M(-42.9%) | $2.62B(+82.9%) |
Aug 2021 | - | $1.29B(+172.4%) | $1.43B(+126.9%) |
May 2021 | - | $475.11M(+331.0%) | $630.82M(-248.8%) |
Feb 2021 | -$424.02M(-161.7%) | $110.24M(-124.6%) | -$424.02M(+65.4%) |
Nov 2020 | - | -$448.23M(-190.8%) | -$256.42M(-200.8%) |
Aug 2020 | - | $493.71M(-185.2%) | $254.40M(+865.0%) |
May 2020 | - | -$579.74M(-308.7%) | $26.36M(-96.2%) |
Feb 2020 | $686.98M(+269.3%) | $277.84M(+343.9%) | $686.98M(+53.2%) |
Nov 2019 | - | $62.59M(-76.4%) | $448.35M(+5.7%) |
Aug 2019 | - | $265.67M(+228.5%) | $424.23M(+22.3%) |
May 2019 | - | $80.88M(+106.3%) | $347.00M(+86.5%) |
Feb 2019 | $186.02M(-55.0%) | $39.20M(+1.9%) | $186.02M(+41.2%) |
Nov 2018 | - | $38.47M(-79.6%) | $131.77M(-69.4%) |
Aug 2018 | - | $188.44M(-335.3%) | $430.48M(+4.3%) |
May 2018 | - | -$80.09M(+432.2%) | $412.82M(-0.2%) |
Feb 2018 | $413.45M(-55.2%) | -$15.05M(-104.5%) | $413.45M(-40.1%) |
Nov 2017 | - | $337.19M(+97.4%) | $689.82M(+57.0%) |
Aug 2017 | - | $170.78M(-314.9%) | $439.41M(-44.5%) |
May 2017 | - | -$79.47M(-130.4%) | $791.61M(-14.1%) |
Feb 2017 | $921.91M(+82.4%) | $261.33M(+201.2%) | $921.91M(+82.9%) |
Nov 2016 | - | $86.77M(-83.4%) | $503.98M(-30.2%) |
Aug 2016 | - | $522.98M(+929.0%) | $722.05M(+185.9%) |
May 2016 | - | $50.82M(-132.5%) | $252.55M(-50.0%) |
Feb 2016 | $505.34M(-30.6%) | -$156.60M(-151.4%) | $505.34M(-35.0%) |
Nov 2015 | - | $304.84M(+470.0%) | $777.75M(+5.3%) |
Aug 2015 | - | $53.48M(-82.4%) | $738.57M(-10.4%) |
May 2015 | - | $303.62M(+162.2%) | $824.71M(+13.2%) |
Feb 2015 | $728.58M(-35.4%) | $115.82M(-56.4%) | $728.58M(-9.4%) |
Nov 2014 | - | $265.65M(+90.3%) | $803.91M(+5.4%) |
Aug 2014 | - | $139.62M(-32.7%) | $762.53M(-18.5%) |
May 2014 | - | $207.49M(+8.5%) | $935.88M(-17.1%) |
Feb 2014 | $1.13B(+8.5%) | $191.15M(-14.8%) | $1.13B(-13.0%) |
Nov 2013 | - | $224.27M(-28.3%) | $1.30B(-3.9%) |
Aug 2013 | - | $312.97M(-21.8%) | $1.35B(+4.5%) |
May 2013 | - | $399.99M(+11.3%) | $1.29B(+24.1%) |
Feb 2013 | $1.04B(+52.3%) | $359.53M(+30.0%) | $1.04B(+14.4%) |
Nov 2012 | - | $276.55M(+8.6%) | $909.51M(+14.2%) |
Aug 2012 | - | $254.65M(+70.1%) | $796.60M(+13.3%) |
May 2012 | - | $149.69M(-34.5%) | $703.34M(+3.0%) |
Feb 2012 | $683.10M | $228.61M(+39.7%) | $683.10M(+55.2%) |
Nov 2011 | - | $163.64M(+1.4%) | $440.11M(+35.2%) |
Aug 2011 | - | $161.40M(+24.7%) | $325.47M(+10.0%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
May 2011 | - | $129.46M(-1000.2%) | $295.79M(+190.5%) |
Feb 2011 | $101.81M(-167.3%) | -$14.38M(-129.4%) | $101.81M(-21.0%) |
Nov 2010 | - | $48.99M(-62.8%) | $128.93M(-198.5%) |
Aug 2010 | - | $131.72M(-304.2%) | -$130.95M(-55.4%) |
May 2010 | - | -$64.52M(-606.7%) | -$293.63M(+94.1%) |
Feb 2010 | -$151.29M(-922.8%) | $12.73M(-106.0%) | -$151.29M(+45.7%) |
Nov 2009 | - | -$210.89M(+581.1%) | -$103.80M(-171.1%) |
Aug 2009 | - | -$30.96M(-139.8%) | $145.93M(+45.5%) |
May 2009 | - | $77.83M(+29.2%) | $100.27M(+445.4%) |
Feb 2009 | $18.39M(-89.2%) | $60.22M(+55.0%) | $18.39M(-82.2%) |
Nov 2008 | - | $38.84M(-150.7%) | $103.19M(-26.0%) |
Aug 2008 | - | -$76.61M(+1787.1%) | $139.40M(-22.1%) |
May 2008 | - | -$4.06M(-102.8%) | $178.89M(+4.6%) |
Feb 2008 | $171.01M(+255.6%) | $145.02M(+93.2%) | $171.01M(+55.7%) |
Nov 2007 | - | $75.06M(-302.2%) | $109.80M(+233.8%) |
Aug 2007 | - | -$37.13M(+210.8%) | $32.90M(-40.0%) |
May 2007 | - | -$11.95M(-114.3%) | $54.86M(+14.1%) |
Feb 2007 | $48.09M(+1395.7%) | $83.81M(-4640.2%) | $48.09M(+54.2%) |
Nov 2006 | - | -$1.85M(-87.8%) | $31.19M(+29.1%) |
Aug 2006 | - | -$15.16M(-19.0%) | $24.16M(+364.5%) |
May 2006 | - | -$18.72M(-128.0%) | $5.20M(+61.7%) |
Feb 2006 | $3.21M(-95.3%) | $66.91M(-853.8%) | $3.21M(-1683.7%) |
Nov 2005 | - | -$8.88M(-74.0%) | -$203.00K(-101.9%) |
Aug 2005 | - | -$34.11M(+64.7%) | $10.67M(-51.3%) |
May 2005 | - | -$20.71M(-132.6%) | $21.91M(-67.6%) |
Feb 2005 | $67.69M(-242.2%) | $63.49M(+3085.8%) | $67.69M(+2510.5%) |
Nov 2004 | - | $1.99M(-108.7%) | $2.59M(-37.0%) |
Aug 2004 | - | -$22.87M(-191.2%) | $4.12M(-76.9%) |
May 2004 | - | $25.07M(-1662.2%) | $17.80M(-137.4%) |
Feb 2004 | -$47.59M(-219.7%) | -$1.60M(-145.6%) | -$47.59M(-1098.1%) |
Nov 2003 | - | $3.52M(-138.3%) | $4.77M(-117.0%) |
Aug 2003 | - | -$9.19M(-77.2%) | -$28.06M(-64.1%) |
May 2003 | - | -$40.32M(-179.4%) | -$78.09M(-296.3%) |
Feb 2003 | $39.77M(-137.6%) | $50.75M(-273.2%) | $39.77M(+34.8%) |
Nov 2002 | - | -$29.31M(-50.5%) | $29.51M(+105.6%) |
Aug 2002 | - | -$59.22M(-176.4%) | $14.35M(-127.4%) |
May 2002 | - | $77.54M(+91.5%) | -$52.31M(-50.5%) |
Feb 2002 | -$105.70M(+370.1%) | $40.49M(-191.1%) | -$105.70M(-5.3%) |
Nov 2001 | - | -$44.47M(-64.7%) | -$111.59M(+95.3%) |
Aug 2001 | - | -$125.88M(-621.2%) | -$57.13M(+386.9%) |
May 2001 | - | $24.15M(-30.2%) | -$11.73M(-47.8%) |
Feb 2001 | -$22.49M(-131.1%) | $34.60M(+245.9%) | -$22.49M(-72.4%) |
Nov 2000 | - | $10.00M(-112.4%) | -$81.48M(-19.1%) |
Aug 2000 | - | -$80.48M(-700.8%) | -$100.69M(-452.1%) |
May 2000 | - | $13.40M(-154.9%) | $28.60M(-60.4%) |
Feb 2000 | $72.30M(-36.5%) | -$24.40M(+165.2%) | $72.30M(-36.0%) |
Nov 1999 | - | -$9.20M(-118.9%) | $113.00M(-14.8%) |
Aug 1999 | - | $48.80M(-14.5%) | $132.60M(-8.4%) |
May 1999 | - | $57.10M(+250.3%) | $144.70M(+27.2%) |
Feb 1999 | $113.80M(+278.1%) | $16.30M(+56.7%) | $113.80M(+2894.7%) |
Nov 1998 | - | $10.40M(-82.9%) | $3.80M(-156.7%) |
Aug 1998 | - | $60.90M(+132.4%) | -$6.70M(-59.6%) |
May 1998 | - | $26.20M(-128.0%) | -$16.60M(-155.1%) |
Feb 1998 | $30.10M(-90.5%) | -$93.70M(>+9900.0%) | $30.10M(-75.7%) |
Nov 1997 | - | -$100.00K(-100.2%) | $123.80M(-0.1%) |
Aug 1997 | - | $51.00M(-30.0%) | $123.90M(+70.0%) |
May 1997 | - | $72.90M | $72.90M |
Feb 1997 | $315.80M | - | - |
FAQ
- What is CarMax annual cash flow from financing activities?
- What is the all time high annual CFF for CarMax?
- What is CarMax annual CFF year-on-year change?
- What is CarMax quarterly cash flow from financing activities?
- What is the all time high quarterly CFF for CarMax?
- What is CarMax quarterly CFF year-on-year change?
- What is CarMax TTM cash flow from financing activities?
- What is the all time high TTM CFF for CarMax?
- What is CarMax TTM CFF year-on-year change?
What is CarMax annual cash flow from financing activities?
The current annual CFF of KMX is -$453.54M
What is the all time high annual CFF for CarMax?
CarMax all-time high annual cash flow from financing activities is $3.10B
What is CarMax annual CFF year-on-year change?
Over the past year, KMX annual cash flow from financing activities has changed by -$761.32M (-247.35%)
What is CarMax quarterly cash flow from financing activities?
The current quarterly CFF of KMX is -$48.83M
What is the all time high quarterly CFF for CarMax?
CarMax all-time high quarterly cash flow from financing activities is $1.29B
What is CarMax quarterly CFF year-on-year change?
Over the past year, KMX quarterly cash flow from financing activities has changed by +$160.70M (+76.70%)
What is CarMax TTM cash flow from financing activities?
The current TTM CFF of KMX is -$453.54M
What is the all time high TTM CFF for CarMax?
CarMax all-time high TTM cash flow from financing activities is $3.10B
What is CarMax TTM CFF year-on-year change?
Over the past year, KMX TTM cash flow from financing activities has changed by -$761.32M (-247.35%)