Copart revenue and financials

CPRT · NASDAQ · USD

$26.82Change from previous close: −3.00%Absolute change: −$0.83

Close · October 6, 2026

In the fiscal year ended July 2026, Copart reported revenue of $4.67B (+0.41% year over year). Net income was $1.48B, a net margin of 31.8%.

Annual revenue · 2026: $4.67B
  1. $1.45B2017
  2. $1.81B2018
  3. $2.04B2019
  4. $2.21B2020
  5. $2.69B2021
  6. $3.5B2022
  7. $3.87B2023
  8. $4.24B2024
  9. $4.65B2025
  10. $4.67B2026

Fiscal year ending in July. Sources and method on the page Methodology and sources.

At a glance

Revenue growth
+0.41%
FY to Jul 2026 vs FY to Jul 2025
Net income growth
−4.39%
FY to Jul 2026 vs FY to Jul 2025
Net margin
31.8%
FY to Jul 2025: 33.4%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Balance sheet · Quarterly
ItemQ to Jul 2026Q to Apr 2026Q to Jan 2026Q to Oct 2025Q to Jul 2025Q to Apr 2025Q to Jan 2025Q to Oct 2024Q to Jul 2024Q to Apr 2024Q to Jan 2024Q to Oct 2023
Total assets10,0289,64910,59510,58110,0919,6729,1878,8698,4288,0117,5997,334
Current assets5,5685,2176,1766,2025,7555,3594,9674,7334,4184,1493,7483,585
Cash and equivalents1,9083,3545,1025,2342,7812,3663,3393,6981,5141,0901,2572,582
Short-term investments2,5828460.09.92,0092,018459—1,9082,0001,41149.0
Receivables300795862760223207264207187230194175
Inventory51.449.641.940.439.744.559.152.443.646.842.842.6
Net property, plant and equipment3,7793,8043,7853,7463,6593,6673,5783,4773,2553,1823,1563,065
Goodwill511523523519518519510514514511511501
Other intangible assets88.853.957.359.610166.468.172.511176.884.081.8
Current liabilities704685614781683657630715629563526624
Accounts payable240598549607214577562582193507474495
Long-term debt—————————0.40.59.5
Total debt—93.196.199.9104101——————
Total liabilities914858788962883870863950879814786897
Total equity (incl. minority)9,1148,7919,8079,6199,2078,8038,3247,9207,5497,1966,8136,437
Retained earnings7,9817,6548,6348,4958,0937,6997,2936,9076,5466,2255,8455,521
Minority interest16.617.218.219.020.521.522.823.624.524.925.125.2