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nasdaq-karo
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Karooooo Ltd
KARO
45.310
USD
+0.390
+0.87%
Horarios del mercado (ET)
Cotizaciones retrasadas 15 min
USD
0.000
Pre-mercado (ET)
1.40B
Cap. mercado
1.52
P/E TTM
Karooooo Ltd
45.310
+0.390
+0.87%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2020Q4
FY2020Q3
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
10.70%
1.10B
126.95%
1.04B
17.87%
921.74M
8.55%
706.82M
-12.43%
996.05M
-52.42%
459.53M
-5.11%
781.98M
-35.95%
651.12M
30.81%
1.14B
29.28%
965.79M
3.18%
824.06M
53.05%
1.02B
57.07%
869.53M
611.91%
747.05M
803.15%
798.69M
--
664.18M
--
553.58M
-28.42%
104.94M
--
88.43M
--
146.59M
--
--
Efectivo y equivalentes de efectivo
10.70%
1.10B
127.04%
1.04B
17.87%
921.74M
8.55%
706.82M
-12.43%
996.05M
-52.44%
459.33M
-5.11%
781.98M
-34.97%
651.12M
33.16%
1.14B
34.12%
965.79M
3.18%
824.06M
50.75%
1.00B
54.31%
854.22M
656.40%
720.11M
1041.88%
798.69M
--
664.18M
--
553.58M
-22.89%
95.20M
--
69.94M
--
123.46M
--
--
-Inversiones a corto plazo
--
--
423296.43%
829.86M
--
--
--
--
--
--
--
196.00K
--
--
--
--
--
--
--
--
--
0.00
--
15.30M
--
15.30M
176.76%
26.94M
-100.00%
0.00
--
0.00
--
--
-57.91%
9.73M
--
18.49M
--
23.13M
--
--
Por cobrar
-5.20%
573.05M
-38.63%
610.08M
12.73%
595.46M
8.33%
530.78M
33.45%
604.51M
137.93%
994.11M
13.87%
528.21M
24.38%
489.97M
33.92%
452.98M
31.77%
417.82M
26.05%
463.86M
7.25%
393.92M
3.74%
338.24M
12.17%
317.08M
39.18%
368.00M
--
367.28M
--
326.03M
16.78%
282.67M
--
264.39M
--
242.06M
--
--
-Cuentas y pagarés por cobrar
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
13.19%
286.53M
--
--
--
--
--
--
16.61%
253.14M
--
231.36M
--
217.09M
--
--
-Préstamos por cobrar
--
19.00K
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
2.52M
--
--
--
--
--
--
-100.00%
0.00
--
11.00M
--
11.01M
--
--
-Otros por cobrar
-5.66%
562.11M
-39.37%
597.46M
12.10%
581.94M
8.82%
521.33M
34.60%
595.85M
140.82%
985.40M
13.67%
519.10M
23.98%
479.08M
33.86%
442.70M
4381.34%
409.19M
26.63%
456.68M
7.12%
386.42M
2.75%
330.70M
6.19%
9.13M
3806.52%
360.65M
--
360.73M
--
321.84M
19.83%
8.60M
--
9.23M
--
7.18M
--
--
Inventario
-7.59%
4.54M
-41.81%
3.83M
-90.83%
3.80M
-96.06%
4.34M
-94.99%
4.91M
-91.69%
6.58M
-55.67%
41.39M
61.34%
110.15M
97.51%
98.02M
212.03%
79.16M
614.80%
93.37M
1590.22%
68.27M
1797.13%
49.63M
--
25.37M
-94.35%
13.06M
--
4.04M
--
2.62M
-100.00%
0.00
--
231.30M
--
151.62M
--
--
Gastos prepago
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-60.78%
19.24M
--
--
--
--
--
--
131.73%
49.06M
--
34.49M
--
21.17M
--
--
Otros activos corrientes
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-99.28%
6.39M
--
--
--
--
--
--
14629.86%
890.27M
--
5.61M
--
6.04M
--
--
Total de activos corrientes
4.66%
1.68B
13.46%
1.66B
12.53%
1.52B
-0.74%
1.24B
-4.91%
1.61B
-0.17%
1.46B
-2.15%
1.35B
-15.39%
1.25B
34.28%
1.69B
31.18%
1.46B
17.08%
1.38B
42.80%
1.48B
42.52%
1.26B
-15.96%
1.12B
88.99%
1.18B
--
1.04B
--
882.23M
133.83%
1.33B
--
624.22M
--
567.48M
--
--
Activos no corrientes
Activos fijos netos
27.58%
2.71B
23.39%
2.51B
18.91%
2.36B
25.79%
2.25B
23.18%
2.13B
27.70%
2.03B
33.24%
1.98B
23.26%
1.79B
19.40%
1.73B
14.46%
1.59B
14.14%
1.49B
18.62%
1.45B
24.18%
1.45B
22.29%
1.39B
44.86%
1.30B
--
1.22B
--
1.16B
33.08%
1.14B
--
900.00M
--
854.51M
--
--
-Activos fijos
--
--
20.80%
5.51B
--
--
--
--
--
--
--
4.56B
--
--
--
--
--
--
--
--
--
--
--
--
--
--
20.47%
2.91B
--
--
--
--
--
--
35.14%
2.41B
--
2.06B
--
1.79B
--
--
-Depreciación acumulada
--
--
18.72%
3.00B
--
--
--
--
--
--
--
2.53B
--
--
--
--
--
--
--
--
--
--
--
--
--
--
18.85%
1.52B
--
--
--
--
--
--
37.03%
1.28B
--
1.16B
--
931.22M
--
--
Fondo de comercio y otros activos intangibles
14.10%
796.42M
9.79%
752.06M
13.90%
750.68M
13.48%
717.19M
11.10%
697.99M
17.06%
685.02M
20.85%
659.08M
20.03%
631.99M
24.79%
628.24M
18.23%
585.18M
4.26%
545.35M
24.44%
526.52M
26.29%
503.44M
28.70%
494.95M
41.79%
523.06M
--
423.10M
--
398.65M
21.39%
384.57M
--
368.90M
--
316.79M
--
--
Deuda a largo plazo
1.77%
28.70M
1.77%
28.70M
-100.00%
0.00
9.30%
28.20M
9.30%
28.20M
9.30%
28.20M
32.99%
25.80M
32.99%
25.80M
32.99%
25.80M
32.99%
25.80M
0.00%
19.40M
-59.44%
19.40M
0.00%
19.40M
0.00%
19.40M
--
19.40M
--
47.83M
--
19.40M
--
19.40M
--
--
--
--
--
--
Gastos prepago a largo plazo
-42.55%
9.80M
-38.25%
11.63M
111.83%
41.67M
-28.53%
15.28M
-26.01%
17.06M
-23.81%
18.83M
-25.34%
19.67M
-23.56%
21.38M
147.05%
23.06M
154.22%
24.71M
155.68%
26.35M
156.81%
27.96M
-18.65%
9.33M
--
9.72M
--
10.31M
--
10.89M
--
11.47M
--
--
--
--
--
--
--
--
Otros activos no actuales
25.77%
133.98M
32.41%
133.38M
82.84%
157.41M
54.71%
118.98M
28.01%
106.52M
17.63%
100.73M
-3.98%
86.09M
-11.78%
76.91M
19.60%
83.21M
25.74%
85.63M
32.40%
89.66M
187.83%
87.18M
24.99%
69.58M
44.76%
68.11M
-37.84%
67.72M
--
30.29M
--
55.66M
-55.82%
47.05M
--
108.94M
--
106.48M
--
--
Total de activos no actuales
24.09%
3.67B
20.22%
3.42B
18.58%
3.27B
23.40%
3.12B
20.10%
2.96B
24.38%
2.85B
28.47%
2.75B
21.01%
2.52B
20.81%
2.46B
15.92%
2.29B
12.01%
2.14B
20.94%
2.09B
24.52%
2.04B
24.32%
1.97B
38.91%
1.91B
--
1.73B
--
1.64B
24.29%
1.59B
--
1.38B
--
1.28B
--
--
Total de activos
17.26%
5.35B
17.93%
5.08B
16.59%
4.79B
15.40%
4.36B
9.93%
4.57B
14.80%
4.31B
16.47%
4.11B
5.91%
3.78B
25.95%
4.15B
21.43%
3.75B
13.95%
3.53B
29.14%
3.57B
30.82%
3.30B
5.98%
3.09B
54.52%
3.09B
--
2.76B
--
2.52B
57.98%
2.92B
--
2.00B
--
1.85B
--
--
Pasivos
Pasivos corrientes
-Otros por pagar
--
--
9.43%
45.52M
--
--
--
--
--
--
--
41.59M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
109.53%
45.38M
--
--
--
--
--
--
182.21%
21.66M
--
49.14M
--
7.67M
--
--
Gastos acumulados
--
--
7.46%
212.11M
--
--
--
--
--
--
--
197.38M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-13.46%
146.09M
--
--
--
--
--
--
58.97%
168.81M
--
105.79M
--
106.19M
--
--
Provisiones corrientes
--
--
-15.80%
890.00K
-21.93%
954.00K
-21.57%
1.28M
96.44%
1.49M
82.24%
1.06M
-10.80%
1.22M
-17.33%
1.63M
-33.89%
759.00K
-69.23%
580.00K
-31.50%
1.37M
3.13%
1.97M
-44.19%
1.15M
92.15%
1.89M
131.48%
2.00M
--
1.91M
--
2.06M
-41.57%
981.00K
--
864.00K
--
1.68M
--
--
Deuda a corto plazo y pasivos por arrendamiento
221.20%
369.96M
503.14%
566.20M
128.31%
175.94M
27.24%
131.18M
78.99%
115.18M
24.94%
93.88M
-3.83%
77.06M
38.80%
103.09M
-11.46%
64.35M
-7.59%
75.14M
62.26%
80.13M
64.49%
74.28M
54.52%
72.68M
-91.57%
81.31M
-25.71%
49.39M
--
45.16M
--
47.04M
1552.84%
964.68M
--
66.48M
--
58.37M
--
--
-Deuda a corto plazo
--
--
745.91%
205.44M
7243.51%
66.17M
3676.80%
33.05M
4640.10%
47.16M
3653.63%
24.29M
-86.90%
901.00K
-54.16%
875.00K
-38.16%
995.00K
-95.92%
647.00K
151.32%
6.88M
-66.57%
1.91M
-75.54%
1.61M
-98.28%
15.86M
-90.77%
2.74M
--
5.71M
--
6.58M
10911.91%
920.82M
--
29.64M
--
8.36M
--
--
-Pasivos por arrendamiento a corto plazo
59.30%
97.90M
22.82%
77.44M
6.23%
73.06M
15.72%
66.25M
15.75%
61.46M
19.32%
63.05M
30.80%
68.78M
10.33%
57.25M
3.58%
53.10M
11.74%
52.84M
16.22%
52.58M
40.80%
51.89M
39.77%
51.26M
23.16%
47.29M
27.66%
45.24M
--
36.85M
--
36.68M
-14.38%
38.40M
--
35.44M
--
44.85M
--
--
Pasivos diferidos
10.23%
357.76M
9.80%
357.78M
7.36%
343.69M
6.96%
330.22M
16.29%
324.56M
14.86%
325.85M
22.50%
320.13M
25.44%
308.74M
21.97%
279.09M
30.04%
283.68M
27.16%
261.33M
29.15%
246.13M
18.13%
228.82M
35.40%
218.15M
21.86%
205.51M
--
190.57M
--
193.70M
5.32%
161.11M
13.81%
168.65M
--
152.97M
--
148.19M
Otros pasivos corrientes
9.73%
357.76M
-2.67%
358.67M
7.25%
344.64M
6.81%
331.50M
16.51%
326.05M
29.63%
368.50M
22.33%
321.36M
25.10%
310.38M
21.69%
279.85M
7.10%
284.26M
26.60%
262.70M
28.89%
248.10M
17.48%
229.97M
44.44%
265.42M
-5.10%
207.51M
--
192.49M
--
195.76M
13.20%
183.75M
--
218.65M
--
162.32M
--
--
Total pasivos corrientes
36.41%
1.44B
54.38%
1.45B
24.42%
1.22B
14.63%
1.06B
-24.14%
1.06B
19.13%
940.44M
18.50%
979.70M
-9.42%
921.77M
110.03%
1.39B
26.49%
789.44M
36.73%
826.72M
83.12%
1.02B
9.02%
662.27M
-56.48%
624.12M
11.02%
604.63M
--
555.71M
--
607.48M
252.44%
1.43B
--
544.63M
--
406.95M
--
--
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-19.98%
31.86M
-24.02%
31.64M
554.43%
283.55M
2863.53%
258.89M
-14.59%
39.81M
8.72%
41.65M
5.86%
43.33M
-79.93%
8.74M
-0.18%
46.61M
-46.20%
38.30M
-66.19%
40.93M
-48.75%
43.53M
382.87%
46.69M
580.11%
71.19M
653.99%
121.05M
--
84.94M
--
9.67M
-41.24%
10.47M
--
16.05M
--
17.82M
--
0.00
-Deuda a largo plazo
-19.98%
31.86M
-24.02%
31.64M
554.43%
283.55M
2863.53%
258.89M
-14.59%
39.81M
8.72%
41.65M
5.86%
43.33M
-79.93%
8.74M
-0.18%
46.61M
-46.20%
38.30M
-66.19%
40.93M
-48.75%
43.53M
382.87%
46.69M
580.11%
71.19M
653.99%
121.05M
--
84.94M
--
9.67M
-41.24%
10.47M
--
16.05M
--
17.82M
--
--
Pasivos diferidos
3.48%
126.02M
4.66%
126.96M
3.99%
126.32M
6.58%
123.47M
4.98%
121.78M
8.13%
121.30M
3.34%
121.47M
-0.27%
115.84M
7.58%
116.01M
3.63%
112.19M
5.64%
117.54M
16.85%
116.16M
45.88%
107.84M
26.39%
108.26M
40.15%
111.26M
--
99.41M
--
73.92M
53.46%
85.66M
96.02%
79.39M
--
55.82M
--
40.50M
Otros pasivos no corrientes
3.48%
126.02M
4.66%
126.96M
3.99%
126.32M
6.58%
123.47M
4.98%
121.78M
8.13%
121.30M
3.34%
121.47M
-0.27%
115.84M
7.58%
116.01M
3.63%
112.19M
5.64%
117.54M
16.85%
116.16M
45.88%
107.84M
26.39%
108.26M
40.15%
111.26M
--
99.41M
--
73.92M
53.46%
85.66M
--
79.39M
--
55.82M
--
--
Total pasivos no corrientes
16.34%
412.20M
4.85%
381.74M
69.44%
601.84M
104.70%
588.53M
12.01%
354.31M
34.71%
364.07M
35.64%
355.19M
11.42%
287.51M
12.27%
316.31M
-7.22%
270.26M
-24.29%
261.86M
-18.18%
258.03M
46.34%
281.74M
46.80%
291.30M
31.67%
345.87M
--
315.39M
--
192.53M
-6.92%
198.43M
--
262.68M
--
213.17M
--
--
Total pasivos
31.36%
1.85B
40.56%
1.83B
36.40%
1.82B
36.05%
1.65B
-17.44%
1.41B
23.10%
1.30B
22.63%
1.33B
-5.20%
1.21B
80.86%
1.71B
15.76%
1.06B
14.53%
1.09B
46.44%
1.28B
18.00%
944.00M
-43.93%
915.42M
17.74%
950.49M
--
871.10M
--
800.01M
163.29%
1.63B
--
807.31M
--
620.12M
--
--
Capital de los accionistas
Capital ordinario
0.17%
7.14B
0.00%
7.14B
-0.17%
7.13B
-0.17%
7.13B
-0.17%
7.13B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
0.00%
7.14B
160.72%
7.14B
71428430.00%
7.14B
--
7.14B
--
7.14B
27396190.00%
2.74B
--
10.00K
--
10.00K
--
--
Ganancias retenidas
21.25%
-1.24B
15.18%
-1.51B
12.15%
-1.75B
9.19%
-1.99B
33.01%
-1.58B
11.83%
-1.78B
8.02%
-1.99B
4.68%
-2.19B
-9.37%
-2.36B
12.69%
-2.02B
10.71%
-2.16B
10.68%
-2.29B
--
-2.16B
-383.50%
-2.31B
-396.64%
-2.42B
--
-2.57B
--
--
-2.48%
815.22M
--
816.74M
--
835.98M
--
--
Menos: Acciones en tesorería
--
--
-100.00%
0.00
--
0.00
--
0.00
--
3.46M
--
23.82M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-4.94%
264.94M
-16.00%
277.87M
-12.66%
246.11M
-16.02%
232.85M
-16.38%
278.71M
34.97%
330.81M
99.65%
281.78M
120.25%
277.28M
555.11%
333.32M
751.78%
245.11M
39.80%
141.14M
10933.30%
125.89M
--
50.88M
196.51%
28.78M
143.27%
100.96M
--
1.14M
--
--
-77.02%
9.71M
--
41.50M
--
42.23M
--
--
Intereses no controladores
20.68%
47.98M
5.29%
43.10M
1.78%
45.99M
2.27%
42.71M
3.03%
39.76M
32.44%
40.94M
80.28%
45.19M
78.39%
41.76M
45.31%
38.59M
34.94%
30.91M
-20.03%
25.07M
4.22%
23.41M
47.08%
26.56M
-94.64%
22.91M
-90.68%
31.34M
--
22.46M
--
18.06M
23.12%
427.13M
--
336.50M
--
346.91M
--
--
Capital total
10.95%
3.50B
8.10%
3.25B
7.04%
2.97B
5.67%
2.71B
29.04%
3.16B
11.54%
3.00B
13.72%
2.77B
12.11%
2.57B
3.92%
2.45B
23.81%
2.69B
13.69%
2.44B
21.16%
2.29B
36.78%
2.35B
69.53%
2.17B
79.38%
2.14B
--
1.89B
--
1.72B
4.68%
1.28B
--
1.19B
--
1.23B
--
--
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
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