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Copart fundamentals

 
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Copart Inc

Stock@NASDAQ 
United States USD
     
Exercise Copart Inc fundamental analysis to find out if markets are presently mispricing the company. In plain English you can Harness it to find out if the firm is indeed mispriced or if you can make any profits on it by purchasing it and then waiting for the market to recognize its mistake and reprise the security. We found thirty-eight available fundamental indicators for Copart Inc which can be compared to its rivals. To make sure the equity is not overpriced, please check all Copart Inc fundamentals including its Price to Sales, Short Ratio, Current Liabilities, as well as the relationship between Cash per Share and Beta . Given that Copart has Price to Earning of 25.57 times, we advise you check Copart Inc prevailing market performance to make sure the company can sustain itself down the road.

Copart One Year High vs Shares Owned by Institutions

Copart Inc is rated below average in one year high category among related companies. It is rated below average in shares owned by institutions category among related companies producing about  2.24  of Shares Owned by Institutions per One Year High.

Copart Fundamentals

    
 Better Than Average     
    
 Worse Than Average Compare Copart to competition
CopartPeer Average
Return On Equity
31.64 %
(5.65) %
Return On Asset
15.50 %
(6.22) %
Profit Margin
19.05 %
0.59 %
Operating Margin
30.42 %
(3.58) %
Current Valuation
5.14 B
29.75 B
Shares Outstanding
125.38 M
297.46 M
Shares Owned by Insiders
10.80 %
4.47 %
Shares Owned by Institutions
85.70 %
11.96 %
Number of Shares Shorted
1.69 M
2.16 M
Price to Earning
25.57 times
23.93 times
Price to Book
6.95 times
5.83 times
Price to Sales
4.76 times
7.33 times
Revenue
975.71 M
8 B
Gross Profit
409.62 M
5.2 B
EBITDA
336.54 M
1.08 B
Net Income
185.85 M
424.08 M
Cash and Equivalents
49.51 M
2.72 B
Cash per Share
0.40 times
4.45 times
Total Debt
411.85 M
5.15 B
Debt to Equity
0.62 times
0.40 times
Current Ratio
1.47 times
2.44 times
Book Value Per Share
5.33 times
12.69 times
Cash Flow from Operations
192.41 M
569.19 M
Short Ratio
2.60 times
1.59 times
One Year High
38.26
36.36
One Year Low
22.59
20.79
Earnings Per Share
1.43 times
1.81 times
Price to Earnings To Growth
1.77 times
0.30 times
Beta
0.57
0.31
Market Capitalization
4.59 B
11.04 B
Total Asset
1.25 B
28.33 B
Retained Earnings
346.65 M
7.28 B
Working Capital
99.09 M
549.25 M
Current Asset
311.9 M
9.21 B
Current Liabilities
212.81 M
8.66 B
Z Score
6.6
405.99
Probability Of Bankruptcy
9.50 %
34.66 %

Copart Company Summary

Copart competes with CARMAX, AUTONATION, AN 492, PENSKE, and GROUP. Copart Inc offers various services to process and sell vehicles over the Internet through its Virtual Bidding Second Generation Internet auctionstyle sales technology. Its services include online seller access, salvage estimation services, estimating services, endoflife vehicle processing, virtual insured exchange, transportation services, vehicle inspection stations, ondemand reporting, DMV processing, flexible vehicle processing programs, member network, sales process, search engine services, dealer services, and direct services, as well as upullit service that allows buyer to remove valuable parts, and sell the remaining parts and car body. It offers services to vehicle sellers, including insurance companies, banks and financial institutions, charities, car dealerships, fleet operators, and vehicle rental companies. Copart Inc sells its solutions to licensed vehicle dismantlers, rebuilders, repair licensees, used vehicle dealers, and exporters, as well as to general public. Copart, Inc. was founded in 1982 and is headquartered in Dallas, Texas.
Chance of
Bankruptcy
Less
Than
9%
In The Next
Two Years
Copart Inc has less than 9.5 (%) percent chance of experiencing financial distress in the next 2 years of operations.
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Copart Research Report

Copart vs. CarMax

Correlation analysis and fundamentals comparison between Copart Inc and CarMax Inc

Compare Copart To

Copart Selected Financial Ratios

Debt to Equity vs Net Income
One Year High vs Cash Flow from Operations
Debt to Equity vs Return On Asset
Current Asset vs Cash Flow from Operations
Debt to Equity vs Z Score
Shares Owned by Institutions vs Cash Flow from Operations
Debt to Equity vs Price to Book
Number of Shares Shorted vs Cash Flow from Operations

 
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