Karooooo Ltd. | Small-cap | Technology

TL;DR: Financial Overview - Revenue, Profits & Key Metrics

Latest Quarterly: May 2025

Income Metrics

Revenue 72.4M
Gross Profit 49.5M 68.39%
Operating Income 19.9M 27.55%
Net Income 15.2M 21.05%
EPS (Diluted) $8.55

Balance Sheet Metrics

Total Assets 302.3M
Total Liabilities 104.6M
Shareholders Equity 197.7M
Debt to Equity 0.53

Cash Flow Metrics

Operating Cash Flow 36.7M
Free Cash Flow 36.3M

Revenue & Profitability Trend

Karooooo Income Statement From 2021 to 2025

Metric20252024202320222021
Revenue i258.8M4.2B3.5B2.7B2.3B
Cost of Goods Sold i77.3M1.5B1.2B922.6M670.5M
Gross Profit i181.5M2.7B2.3B1.8B1.6B
Gross Margin % i70.1%64.0%64.8%66.4%70.7%
Operating Expenses
Research & Development i12.9M212.2M177.0M149.2M100.1M
Selling, General & Administrative i88.4M1.3B1.1B888.6M714.6M
Other Operating Expenses i-587.6K-11.8M-9.8M-1.8M-2.2M
Total Operating Expenses i100.7M1.5B1.3B1.0B812.6M
Operating Income i74.4M1.0B881.9M699.1M726.6M
Operating Margin % i28.7%24.8%25.1%25.5%31.7%
Non-Operating Items
Interest Income i2.5M39.4M23.3M6.1M4.4M
Interest Expense i2.8M13.9M9.3M11.4M9.2M
Other Non-Operating Income-3.3M-388.0K-971.0K-10.8M-25.6M
Pre-tax Income i70.7M1.1B894.1M682.1M696.0M
Income Tax i17.6M311.6M285.3M205.5M198.6M
Effective Tax Rate % i24.8%29.2%31.9%30.1%28.5%
Net Income i53.1M754.2M608.8M476.6M497.4M
Net Margin % i20.5%17.9%17.4%17.4%21.7%
Key Metrics
EBITDA i120.1M1.8B1.5B1.3B1.2B
EPS (Basic) i$29.81$23.85$19.29$15.24$13.94
EPS (Diluted) i$29.81$23.85$19.29$15.24$13.94
Basic Shares Outstanding i175083030948470571488549545213850421593404
Diluted Shares Outstanding i175083030948470571488549545213850421593404

Income Statement Trend

Karooooo Balance Sheet From 2021 to 2025

Metric20252024202320222021
Assets
Current Assets
Cash & Equivalents i58.9M459.5M965.8M731.7M104.9M
Short-term Investments i-----
Accounts Receivable i33.7M985.4M409.2M333.9M253.1M
Inventory i216.3K6.6M79.2M25.4M0
Other Current Assets-----
Total Current Assets i93.6M1.5B1.5B1.1B1.3B
Non-Current Assets
Property, Plant & Equipment i234.7M3.4B2.7B2.3B2.0B
Goodwill i24.5M537.9M510.6M449.8M307.6M
Intangible Assets i4.7M83.1M85.6M77.0M59.3M
Long-term Investments-----
Other Non-Current Assets35.4M475.3M372.7M299.6M286.9M
Total Non-Current Assets i193.3M2.8B2.3B2.0B1.6B
Total Assets i286.8M4.3B3.8B3.1B2.9B
Liabilities
Current Liabilities
Accounts Payable i12.2M219.5M150.5M99.4M91.4M
Short-term Debt i32.0M93.9M75.1M81.3M964.7M
Current Portion of Long-term Debt-----
Other Current Liabilities-209.2M214.3M--
Total Current Liabilities i82.0M940.4M789.4M624.1M1.4B
Non-Current Liabilities
Long-term Debt i9.0M172.9M106.2M136.0M70.8M
Deferred Tax Liabilities i5.4M69.8M51.9M47.1M42.0M
Other Non-Current Liabilities-68.2M15.0M--
Total Non-Current Liabilities i21.6M364.1M270.3M291.3M198.4M
Total Liabilities i103.5M1.3B1.1B915.4M1.6B
Equity
Common Stock i403.4M7.1B7.1B7.1B2.7B
Retained Earnings i119.3M1.8B1.6B1.3B815.2M
Treasury Stock i023.8M0--
Other Equity-----
Total Shareholders Equity i183.3M3.0B2.7B2.2B1.3B
Key Metrics
Total Debt i40.9M266.8M181.3M217.3M1.0B
Working Capital i11.6M519.8M673.3M491.0M-107.3M

Balance Sheet Composition

Karooooo Cash Flow Statement From 2021 to 2025

Metric20252024202320222021
Operating Activities
Net Income i70.4M1.1B894.1M682.1M696.0M
Depreciation & Amortization i43.1M731.3M609.6M561.9M445.7M
Stock-Based Compensation i-----
Working Capital Changes i11.8M-594.8M-183.1M-111.9M-131.4M
Operating Cash Flow i125.6M1.2B1.3B1.1B1.0B
Investing Activities
Capital Expenditures i-57.5M-873.5M-569.2M-547.8M-463.7M
Acquisitions i0-5.1M0-66.6M0
Investment Purchases i-----
Investment Sales i-----
Investing Cash Flow i-57.5M-881.0M-575.6M-614.4M-472.1M
Financing Activities
Share Repurchases i-195.5K-23.8M00-
Dividends Paid i-34.6M-499.5M-331.3M0-272.2M
Debt Issuance i16.4M342.0K817.0K110.0M0
Debt Repayment i-5.7M-70.0M-89.6M-993.9M-56.5M
Financing Cash Flow i-25.1M-593.0M-421.7M-510.0M-487.5M
Free Cash Flow i48.1M27.5M500.4M335.3M414.2M
Net Change in Cash i43.0M-295.4M310.3M13.9M55.8M

Cash Flow Trend

Karooooo Key Financial Ratios

Valuation Ratios

P/E Ratio (TTM) 26.84
Forward P/E 26.40
Price to Book 0.43
Price to Sales 0.31
PEG Ratio 1.39

Profitability Ratios

Profit Margin 20.23%
Operating Margin 27.55%
Return on Equity 29.46%
Return on Assets 17.20%

Financial Health

Current Ratio 1.17
Debt to Equity 15.86
Beta 1.08

Per Share Data

EPS (TTM) $1.78
Book Value per Share $111.79
Revenue per Share $154.17

Peer Financial Comparison

CompanyMarket CapP/E RatioP/B RatioROEProfit MarginDebt/Equity
karo1.5B26.840.4329.46%20.23%15.86
Salesforce 231.8B37.883.8310.31%16.08%19.81
Intuit 200.1B58.509.9517.84%19.07%0.35
Eplus 1.9B17.281.8711.42%5.45%12.68
Matterport 1.8B-6.734.43-55.40%-151.22%0.05
Olo 1.7B1,038.002.44-0.13%-0.28%1.80

Financial data is updated regularly. All figures are in the company's reporting currency.