Karooooo Ltd. (KARO)

Last Closing Price: 47.27 (2026-06-12)

Cash Flow from Investing Activities (Quarterly)

Cash Flow from Investing Activities: The total change in cash resulting from a company's investments.

Karooooo Ltd. (KARO) had Cash Flow from Investing Activities of $-69.56M for the most recently reported fiscal quarter, ending 2026-02-28.

Figures for fiscal quarter ending 2026-02-28
Income Statement Financials
$87.74M
$13.68M
$29.52M
$58.22M
$67.09M
$20.65M
$-1.01M
$19.64M
$19.64M
$13.88M
$13.88M
$13.88M
$13.88M
$20.65M
$20.65M
30.89M
30.89M
$0.44
$0.44
Balance Sheet Financials
$100.92M
$180.53M
$231.08M
$332.00M
$95.58M
$31.95M
$45.79M
$141.37M
$190.64M
$176.37M
$190.64M
30.89M
Cash Flow Statement Financials
$112.71M
Cash Flow from Investing Activities
$-69.56M
$-40.52M
$47.99M
$42.76M
$-5.24M
--
$-39.79M
--
Fundamental Metrics & Ratios
1.06
--
--
0.14
0.34
66.35%
23.54%
23.54%
--
22.38%
15.60%
$46.69M
--
--
--
0.26
89.73
2.54
35.37
7.28%
7.87%
4.18%
6.23%
$6.17
$1.51
$3.65