Symbols / KARO Stock Karooooo Ltd.
KARO (Stock) Chart
Stock Fundamentals
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About
No company description available for this symbol.
Ratings
- Top Swarmer (SWMR) Competitors 2026 - MarketBeat hu, 30 Apr 2026 00
- Karooooo (KARO) Soars 6.1%: Is Further Upside Left in the Stock? - Yahoo Finance Mon, 20 Apr 2026 07
- Karooooo: A High-Quality Business, But Not Yet A Compelling Buy - Seeking Alpha Fri, 17 Apr 2026 07
- What Does Karooooo Ltd.'s (NASDAQ:KARO) Share Price Indicate? - simplywall.st Sun, 19 Apr 2026 07
- The 3 Fastest-Growing Tech Stocks You've Never Heard Of - The Motley Fool ue, 17 Mar 2026 07
- (KARO) Volatility Zones as Tactical Triggers - Stock Traders Daily Sat, 11 Apr 2026 01
- Global fleet tech firm Karooooo sets date to share its latest quarterly numbers - Stock Titan Mon, 12 Jan 2026 08
- KARO Price Today: Karooooo Ltd. Stock Price, Quote & Chart | MEXC - MEXC Exchange Fri, 24 Apr 2026 07
- Karooooo Ltd. (KARO) Stock Analysis: A 24.90% Potential Upside And Strong Buy Ratings - DirectorsTalk Interviews hu, 19 Mar 2026 07
- Karooooo (KARO) Stock: Is It Overpriced (Technical Weakness) 2026-04-20 - Shared Trade Alerts - Xã Thanh Hà Mon, 20 Apr 2026 13
- 3 Reasons Why Growth Investors Shouldn't Overlook Karooooo (KARO) - Yahoo Finance Wed, 11 Feb 2026 08
- Karooooo (NASDAQ:KARO) Shares Down 5% - What's Next? - MarketBeat Mon, 20 Apr 2026 17
- Trading the Move, Not the Narrative: (KARO) Edition - Stock Traders Daily Wed, 22 Apr 2026 02
- Cartrack backs a pipeline from classrooms to jobs for South African youth - Stock Titan Wed, 01 Apr 2026 07
- Assessing Karooooo (KARO) Valuation After Recent Share Pullback And Mixed Model Signals - Yahoo Finance hu, 12 Mar 2026 07
Insider Transactions
No recent insider transactions.
Financials
| Line Item | Trend | 2025-02-28 | 2024-02-29 | 2023-02-28 | 2022-02-28 |
|---|---|---|---|---|---|
| Total Revenue |
|
4,567.46
+8.61%
|
4,205.51
+19.92%
|
3,507.07
+27.71%
|
2,746.15
|
| Operating Revenue |
|
4,477.84
+8.83%
|
4,114.63
+19.81%
|
3,434.36
+28.38%
|
2,675.10
|
| Cost Of Revenue |
|
1,364.41
-9.92%
|
1,514.67
+22.68%
|
1,234.67
+33.83%
|
922.56
|
| Reconciled Cost Of Revenue |
|
1,364.41
-9.92%
|
1,514.67
+22.68%
|
1,234.67
+33.83%
|
922.56
|
| Gross Profit |
|
3,203.05
+19.04%
|
2,690.84
+18.41%
|
2,272.39
+24.61%
|
1,823.59
|
| Operating Expense |
|
1,890.72
+14.70%
|
1,648.34
+18.54%
|
1,390.48
+23.66%
|
1,124.46
|
| Research And Development |
|
226.94
+6.93%
|
212.24
+19.89%
|
177.02
+18.62%
|
149.24
|
| Selling General And Administration |
|
1,559.60
+16.52%
|
1,338.51
+17.85%
|
1,135.74
+27.81%
|
888.59
|
| Selling And Marketing Expense |
|
614.76
+22.73%
|
500.90
+16.18%
|
431.14
+29.37%
|
333.26
|
| General And Administrative Expense |
|
944.83
+12.80%
|
837.61
+18.88%
|
704.60
+26.88%
|
555.33
|
| Other Gand A |
|
944.83
+12.80%
|
837.61
+18.88%
|
704.60
+26.88%
|
555.33
|
| Other Operating Expenses |
|
-10.37
+12.36%
|
-11.83
-20.38%
|
-9.83
-433.84%
|
-1.84
|
| Total Expenses |
|
3,255.13
+2.91%
|
3,163.01
+20.49%
|
2,625.15
+28.24%
|
2,047.03
|
| Operating Income |
|
1,312.33
+25.88%
|
1,042.50
+18.21%
|
881.91
+26.15%
|
699.12
|
| Total Operating Income As Reported |
|
1,312.33
+25.88%
|
1,042.50
+18.21%
|
881.91
+26.15%
|
699.12
|
| EBITDA |
|
2,059.99
+13.76%
|
1,810.87
+19.68%
|
1,513.03
+20.52%
|
1,255.37
|
| Normalized EBITDA |
|
2,118.70
+16.97%
|
1,811.26
+19.63%
|
1,514.00
+19.57%
|
1,266.16
|
| Reconciled Depreciation |
|
762.78
+4.31%
|
731.30
+19.96%
|
609.64
+8.49%
|
561.92
|
| EBIT |
|
1,297.20
+20.16%
|
1,079.57
+19.50%
|
903.39
+30.28%
|
693.44
|
| Total Unusual Items |
|
-58.71
-15032.22%
|
-0.39
+60.04%
|
-0.97
+91.00%
|
-10.79
|
| Total Unusual Items Excluding Goodwill |
|
-58.71
-15032.22%
|
-0.39
+60.04%
|
-0.97
+91.00%
|
-10.79
|
| Special Income Charges |
|
-58.71
|
0.00
|
0.00
+100.00%
|
-10.29
|
| Other Special Charges |
|
15.11
|
—
|
—
|
10.29
|
| Impairment Of Capital Assets |
|
43.60
|
0.00
|
0.00
|
—
|
| Net Income |
|
921.03
+24.77%
|
738.19
+23.62%
|
597.15
+32.71%
|
449.95
|
| Pretax Income |
|
1,246.92
+17.00%
|
1,065.71
+19.19%
|
894.10
+31.08%
|
682.08
|
| Net Non Operating Interest Income Expense |
|
-6.70
-128.39%
|
23.60
+79.30%
|
13.16
+310.63%
|
-6.25
|
| Interest Expense Non Operating |
|
50.28
+262.77%
|
13.86
+49.25%
|
9.29
-18.25%
|
11.36
|
| Net Interest Income |
|
-6.70
-128.39%
|
23.60
+79.30%
|
13.16
+310.63%
|
-6.25
|
| Interest Expense |
|
50.28
+262.77%
|
13.86
+49.25%
|
9.29
-18.25%
|
11.36
|
| Interest Income Non Operating |
|
44.17
+12.05%
|
39.42
+69.50%
|
23.25
+282.29%
|
6.08
|
| Interest Income |
|
44.17
+12.05%
|
39.42
+69.50%
|
23.25
+282.29%
|
6.08
|
| Other Income Expense |
|
-58.71
-15032.22%
|
-0.39
+60.04%
|
-0.97
+91.00%
|
-10.79
|
| Other Non Operating Income Expenses |
|
—
|
—
|
—
|
-10.29
|
| Gain On Sale Of Security |
|
—
|
-0.39
+60.04%
|
-0.97
-91.90%
|
-0.51
|
| Tax Provision |
|
309.81
-0.56%
|
311.55
+9.20%
|
285.30
+38.85%
|
205.48
|
| Tax Rate For Calcs |
|
0.00
-15.07%
|
0.00
-8.46%
|
0.00
+5.98%
|
0.00
|
| Tax Effect Of Unusual Items |
|
-14.56
-12752.02%
|
-0.11
+63.42%
|
-0.31
+90.47%
|
-3.25
|
| Net Income Including Noncontrolling Interests |
|
937.11
+24.26%
|
754.16
+23.87%
|
608.81
+27.74%
|
476.61
|
| Net Income From Continuing Operation Net Minority Interest |
|
921.03
+24.77%
|
738.19
+23.62%
|
597.15
+32.71%
|
449.95
|
| Net Income From Continuing And Discontinued Operation |
|
921.03
+24.77%
|
738.19
+23.62%
|
597.15
+32.71%
|
449.95
|
| Net Income Continuous Operations |
|
937.11
+24.26%
|
754.16
+23.87%
|
608.81
+27.74%
|
476.61
|
| Minority Interests |
|
-16.08
-0.71%
|
-15.96
-37.00%
|
-11.65
+56.28%
|
-26.65
|
| Normalized Income |
|
965.18
+30.70%
|
738.47
+23.53%
|
597.81
+30.67%
|
457.50
|
| Net Income Common Stockholders |
|
921.03
+24.77%
|
738.19
+23.62%
|
597.15
+32.71%
|
449.95
|
| Diluted EPS |
|
29.81
+24.99%
|
23.85
+23.64%
|
19.29
+26.57%
|
15.24
|
| Basic EPS |
|
29.81
+24.99%
|
23.85
+23.64%
|
19.29
+26.57%
|
15.24
|
| Basic Average Shares |
|
30.89
-0.17%
|
30.95
-0.01%
|
30.95
+4.82%
|
29.53
|
| Diluted Average Shares |
|
30.89
-0.17%
|
30.95
-0.01%
|
30.95
+4.82%
|
29.53
|
| Diluted NI Availto Com Stockholders |
|
921.03
+24.77%
|
738.19
+23.62%
|
597.15
+32.71%
|
449.95
|
| Provision For Doubtful Accounts |
|
114.56
+4.69%
|
109.42
+25.00%
|
87.54
-1.06%
|
88.48
|
| Total Other Finance Cost |
|
0.58
-70.32%
|
1.96
+142.70%
|
0.81
-16.79%
|
0.97
|
| Line Item | Trend | 2024-02-29 |
|---|---|---|
| Total Assets |
|
4,306.97
|
| Current Assets |
|
1,460.22
|
| Cash Cash Equivalents And Short Term Investments |
|
459.53
|
| Cash And Cash Equivalents |
|
459.53
|
| Cash Equivalents |
|
0.20
|
| Cash Financial |
|
459.33
|
| Receivables |
|
994.11
|
| Accounts Receivable |
|
985.40
|
| Gross Accounts Receivable |
|
—
|
| Allowance For Doubtful Accounts Receivable |
|
—
|
| Other Receivables |
|
—
|
| Taxes Receivable |
|
8.71
|
| Inventory |
|
6.58
|
| Raw Materials |
|
4.50
|
| Prepaid Assets |
|
—
|
| Hedging Assets Current |
|
—
|
| Total Non Current Assets |
|
2,846.75
|
| Net PPE |
|
2,032.79
|
| Gross PPE |
|
4,560.48
|
| Accumulated Depreciation |
|
-2,527.68
|
| Properties |
|
0.00
|
| Land And Improvements |
|
153.96
|
| Machinery Furniture Equipment |
|
396.39
|
| Construction In Progress |
|
397.38
|
| Other Properties |
|
3,410.37
|
| Leases |
|
202.37
|
| Goodwill And Other Intangible Assets |
|
310.50
|
| Goodwill |
|
227.38
|
| Other Intangible Assets |
|
83.12
|
| Investments And Advances |
|
0.00
|
| Non Current Accounts Receivable |
|
18.83
|
| Non Current Deferred Assets |
|
81.90
|
| Non Current Deferred Taxes Assets |
|
81.90
|
| Non Current Prepaid Assets |
|
—
|
| Other Non Current Assets |
|
374.52
|
| Total Liabilities Net Minority Interest |
|
1,304.51
|
| Current Liabilities |
|
940.44
|
| Payables And Accrued Expenses |
|
519.66
|
| Payables |
|
370.41
|
| Accounts Payable |
|
219.54
|
| Other Payable |
|
19.64
|
| Dividends Payable |
|
9.72
|
| Current Accrued Expenses |
|
149.25
|
| Total Tax Payable |
|
121.51
|
| Income Tax Payable |
|
73.38
|
| Current Debt And Capital Lease Obligation |
|
93.88
|
| Current Debt |
|
30.82
|
| Other Current Borrowings |
|
7.46
|
| Current Capital Lease Obligation |
|
63.05
|
| Current Deferred Liabilities |
|
325.85
|
| Current Deferred Revenue |
|
325.85
|
| Other Current Liabilities |
|
209.16
|
| Total Non Current Liabilities Net Minority Interest |
|
364.07
|
| Long Term Debt And Capital Lease Obligation |
|
172.93
|
| Long Term Debt |
|
41.65
|
| Long Term Capital Lease Obligation |
|
131.28
|
| Non Current Deferred Liabilities |
|
191.14
|
| Non Current Deferred Revenue |
|
121.30
|
| Non Current Deferred Taxes Liabilities |
|
69.84
|
| Other Non Current Liabilities |
|
68.23
|
| Stockholders Equity |
|
2,961.53
|
| Common Stock Equity |
|
2,961.53
|
| Capital Stock |
|
7,142.85
|
| Common Stock |
|
7,142.85
|
| Share Issued |
|
30.95
|
| Ordinary Shares Number |
|
30.90
|
| Treasury Shares Number |
|
0.05
|
| Retained Earnings |
|
1,803.48
|
| Gains Losses Not Affecting Retained Earnings |
|
-5,960.99
|
| Treasury Stock |
|
23.82
|
| Minority Interest |
|
40.94
|
| Other Equity Adjustments |
|
-6,291.80
|
| Total Equity Gross Minority Interest |
|
3,002.46
|
| Total Capitalization |
|
3,003.17
|
| Working Capital |
|
519.78
|
| Invested Capital |
|
3,033.99
|
| Total Debt |
|
266.81
|
| Capital Lease Obligations |
|
194.34
|
| Net Tangible Assets |
|
2,651.02
|
| Tangible Book Value |
|
2,651.02
|
| Current Provisions |
|
1.06
|
| Foreign Currency Translation Adjustments |
|
330.81
|
| Investmentin Financial Assets |
|
0.00
|
| Line Of Credit |
|
23.36
|
| Minimum Pension Liabilities |
|
0.00
|
| Non Current Note Receivables |
|
28.20
|
| Other Inventories |
|
2.08
|
| Line Item | Trend | 2025-02-28 | 2024-02-29 | 2023-02-28 | 2022-02-28 |
|---|---|---|---|---|---|
| Operating Cash Flow |
|
1,933.30
+102.43%
|
955.04
-15.23%
|
1,126.66
+20.92%
|
931.71
|
| Cash Flow From Continuing Operating Activities |
|
1,933.30
+102.43%
|
955.04
-15.23%
|
1,126.66
+20.92%
|
931.71
|
| Net Income From Continuing Operations |
|
1,246.92
+17.00%
|
1,065.71
+19.19%
|
894.10
+31.08%
|
682.08
|
| Depreciation Amortization Depletion |
|
762.78
+4.31%
|
731.30
+19.96%
|
609.64
+8.49%
|
561.92
|
| Depreciation |
|
606.49
+3.03%
|
588.66
+19.21%
|
493.79
+7.75%
|
458.28
|
| Amortization Cash Flow |
|
156.29
+9.58%
|
142.64
+23.12%
|
115.85
+11.78%
|
103.64
|
| Depreciation And Amortization |
|
762.78
+4.31%
|
731.30
+19.96%
|
609.64
+8.49%
|
561.92
|
| Amortization Of Intangibles |
|
156.29
+9.58%
|
142.64
+23.12%
|
115.85
+11.78%
|
103.64
|
| Other Non Cash Items |
|
6.70
+128.39%
|
-23.60
-79.30%
|
-13.16
-310.63%
|
6.25
|
| Provisionand Write Offof Assets |
|
—
|
0.48
+136.55%
|
-1.30
-244.36%
|
0.90
|
| Asset Impairment Charge |
|
43.60
|
0.00
|
0.00
-100.00%
|
15.30
|
| Operating Gains Losses |
|
0.41
+160.71%
|
-0.67
+87.29%
|
-5.29
-721.12%
|
-0.64
|
| Gain Loss On Investment Securities |
|
-0.17
-119.31%
|
0.86
+358.98%
|
-0.33
-166.01%
|
0.51
|
| Gain Loss On Sale Of PPE |
|
0.57
+137.41%
|
-1.54
+68.97%
|
-4.95
-330.78%
|
-1.15
|
| Change In Working Capital |
|
215.76
+140.01%
|
-539.34
-368.30%
|
-115.17
+6.83%
|
-123.61
|
| Change In Receivables |
|
384.67
+169.78%
|
-551.23
-777.29%
|
-62.83
-20.71%
|
-52.05
|
| Change In Inventory |
|
2.75
-96.22%
|
72.74
+235.22%
|
-53.79
-112.03%
|
-25.37
|
| Change In Payables And Accrued Expense |
|
7.69
-86.15%
|
55.50
-18.32%
|
67.94
+681.83%
|
-11.68
|
| Change In Payable |
|
7.69
-86.15%
|
55.50
-18.32%
|
67.94
+681.83%
|
-11.68
|
| Change In Other Working Capital |
|
44.10
-6.92%
|
47.38
+2.43%
|
46.25
-40.80%
|
78.13
|
| Change In Other Current Assets |
|
-223.45
-36.49%
|
-163.72
-45.22%
|
-112.74
-0.09%
|
-112.64
|
| Investing Cash Flow |
|
-1,077.34
-15.57%
|
-932.19
-49.82%
|
-622.21
+5.47%
|
-658.22
|
| Cash Flow From Continuing Investing Activities |
|
-1,077.34
-15.57%
|
-932.19
-49.82%
|
-622.21
+5.47%
|
-658.22
|
| Net PPE Purchase And Sale |
|
-1,017.90
-16.53%
|
-873.47
-53.47%
|
-569.16
-3.90%
|
-547.79
|
| Purchase Of PPE |
|
-1,022.37
-16.66%
|
-876.35
-51.19%
|
-579.66
-4.89%
|
-552.63
|
| Sale Of PPE |
|
4.47
+55.15%
|
2.88
-72.54%
|
10.50
+116.92%
|
4.84
|
| Capital Expenditure |
|
-1,081.31
-16.57%
|
-927.57
-48.10%
|
-626.31
-5.01%
|
-596.45
|
| Net Business Purchase And Sale |
|
0.00
+100.00%
|
-5.10
|
0.00
+100.00%
|
-66.61
|
| Purchase Of Business |
|
0.00
+100.00%
|
-5.10
|
0.00
+100.00%
|
-66.61
|
| Net Intangibles Purchase And Sale |
|
-58.94
-15.08%
|
-51.21
-9.78%
|
-46.65
-6.47%
|
-43.82
|
| Purchase Of Intangibles |
|
-58.94
-15.08%
|
-51.21
-9.78%
|
-46.65
-6.47%
|
-43.82
|
| Net Other Investing Changes |
|
-0.50
+79.17%
|
-2.40
+62.50%
|
-6.40
|
—
|
| Financing Cash Flow |
|
-443.26
+25.25%
|
-592.95
-41.17%
|
-420.03
-225.39%
|
334.97
|
| Cash Flow From Continuing Financing Activities |
|
-443.26
+25.25%
|
-592.95
-41.17%
|
-420.03
-225.39%
|
334.97
|
| Net Issuance Payments Of Debt |
|
187.87
+369.84%
|
-69.62
+21.58%
|
-88.77
+89.96%
|
-883.91
|
| Issuance Of Debt |
|
289.57
+84569.59%
|
0.34
-58.14%
|
0.82
-99.26%
|
110.00
|
| Repayment Of Debt |
|
-101.70
-45.37%
|
-69.96
+21.91%
|
-89.59
+90.99%
|
-993.91
|
| Long Term Debt Issuance |
|
289.52
|
0.00
-100.00%
|
0.50
-99.54%
|
110.00
|
| Long Term Debt Payments |
|
-100.97
-44.42%
|
-69.91
+20.24%
|
-87.65
+41.14%
|
-148.91
|
| Net Long Term Debt Issuance |
|
188.55
+369.71%
|
-69.91
+19.78%
|
-87.15
-123.98%
|
-38.91
|
| Short Term Debt Issuance |
|
0.05
-84.80%
|
0.34
+8.57%
|
0.32
|
0.00
|
| Short Term Debt Payments |
|
-0.74
-1319.23%
|
-0.05
+97.32%
|
-1.94
+99.77%
|
-845.00
|
| Net Short Term Debt Issuance |
|
-0.69
-336.55%
|
0.29
+117.85%
|
-1.62
+99.81%
|
-845.00
|
| Net Common Stock Issuance |
|
-3.46
+85.47%
|
-23.82
|
0.00
-100.00%
|
450.73
|
| Common Stock Payments |
|
-3.46
+85.47%
|
-23.82
|
0.00
|
0.00
|
| Common Stock Dividend Paid |
|
-612.42
-22.60%
|
-499.52
-50.80%
|
-331.25
|
0.00
|
| Cash Dividends Paid |
|
-612.42
-22.60%
|
-499.52
-50.80%
|
-331.25
|
0.00
|
| Repurchase Of Capital Stock |
|
-3.46
+85.47%
|
-23.82
|
0.00
|
0.00
|
| Net Other Financing Charges |
|
-15.24
|
—
|
—
|
768.16
|
| Changes In Cash |
|
412.70
+172.39%
|
-570.10
-775.26%
|
84.43
-86.12%
|
608.46
|
| Effect Of Exchange Rate Changes |
|
-11.28
-127.85%
|
40.52
-75.19%
|
163.30
+387.93%
|
33.47
|
| Beginning Cash Position |
|
436.17
-54.84%
|
965.75
+34.50%
|
718.03
+843.55%
|
76.10
|
| End Cash Position |
|
837.58
+92.03%
|
436.17
-54.84%
|
965.75
+34.50%
|
718.03
|
| Free Cash Flow |
|
851.99
+3001.29%
|
27.47
-94.51%
|
500.35
+49.25%
|
335.26
|
| Common Stock Issuance |
|
—
|
0.00
|
0.00
-100.00%
|
450.73
|
| Interest Paid CFO |
|
-48.61
-207.23%
|
-15.82
-56.73%
|
-10.10
+28.21%
|
-14.06
|
| Interest Received CFO |
|
44.17
+12.05%
|
39.42
+69.50%
|
23.25
+282.29%
|
6.08
|
| Issuance Of Capital Stock |
|
—
|
0.00
|
0.00
-100.00%
|
450.73
|
| Taxes Refund Paid |
|
-338.44
-12.08%
|
-301.96
-17.67%
|
-256.62
-26.71%
|
-202.53
|
SEC Filings
No SEC filings found for this symbol (may be non-US or ticker not in SEC index).
Trades
| Date | User | Broker | Pattern | Type | Position Size | Entry Price | Trade P&L | Status |
|---|
Posts
| Published | Title | Author | Category |
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