MarketBrain

AMERICAS CARMART INC

Financial highlights

MetricFY April 30, 2025FY April 30, 2024FY April 30, 2023FY April 30, 2022FY April 30, 2021
Revenue$1.4B$1.4B$1.4B$1.2B$909.7M
Cost of revenue$726.1M$758.5M$800.8M$658.6M$479.2M
Cash from operations-$48.8M-$73.9M-$135.7M-$119.2M-$53.8M
Capital expenditure$3.9M$6.1M$22.1M$15.8M$9.0M
Free cash flow-$52.7M-$80.0M-$157.8M-$135.0M-$62.8M
Share repurchases$434,000$365,000$5.2M$34.7M$10.6M
Impairments$140,000$267,000$0$0$0
Total assets$1.6B$1.5B$1.4B$1.2B$822.2M
Total liabilities$1.0B$1.0B$915.8M$677.8M$415.3M

Shares outstanding 8.3M · Free float 58.8%

Annual filing data through FY ended April 30, 2025; float as of July 10, 2026.