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Autozone (AZO)

Autozone (AZO)
3,664.77 x 1 N/A x N/A
Post-market by (Cboe BZX)
3,771.00 -57.11 (-1.49%) 03/28/25 [NYSE]
3,664.77 x 1 N/A x N/A
Post-market 3,771.00 unch (unch) 16:04 ET
Financial Summary for Fri, Mar 28th, 2025
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AutoZone, Inc. is the nation's leading retailer and a leading distributor of automotive replacement parts and accessories in the U.S., Puerto Rico, Mexico, and Brazil. Also, it has offices in Shanghai, China, to support sourcing efforts in Asia. It operates in the Do-It-Yourself (DIY) retail, Do-It-for-Me (DIFM) auto parts and products markets. Each AutoZone store carries an extensive product line for cars, sport utility vehicles, vans and light trucks, including new and remanufactured automotive hard parts, maintenance items, accessories and non-automotive products. Many of AutoZone stores also have a commercial sales program that provides commercial credit and prompt delivery of parts and other products to local, regional and national repair garages, dealers, service stations and public sector accounts. Also, it sells automotive hard parts, maintenance items, accessories and non-automotive products, also performance and replacement parts through websites.

Fiscal Year End Date: 08/31

(Values in U.S. Thousands) Aug, 2024 Aug, 2023 Aug, 2022 Aug, 2021 Aug, 2020
Sales 18,490,270 17,457,211 16,252,230 14,629,580 12,631,970
Sales Growth +5.92% +7.41% +11.09% +15.81% +6.48%
Net Income 2,662,430 2,528,430 2,429,600 2,170,310 1,732,970
Net Income Growth +5.30% +4.07% +11.95% +25.24% +7.16%
(Values in U.S. Thousands) Aug, 2024 Aug, 2023 Aug, 2022 Aug, 2021 Aug, 2020
Total Assets 17,176,539 15,985,880 15,275,040 14,516,200 14,423,870
Total Assets Growth +7.45% +4.65% +5.23% +0.64% +45.76%
Total Liabilities 21,926,150 20,335,770 18,813,961 16,313,740 15,301,850
Total Liabilities Growth +7.82% +8.09% +15.33% +6.61% +31.80%
(Values in U.S. Thousands) Aug, 2024 Aug, 2023 Aug, 2022 Aug, 2021 Aug, 2020
Operating Cash Flow 3,004,120 2,940,790 3,211,140 3,518,540 2,720,110
Operating Cash Flow Growth +2.15% -8.42% -8.74% +29.35% +27.79%
Net Cash Flow 21,120 12,670 -906,960 -579,480 1,574,520
Change in Net Cash Flow +66.69% +101.40% -56.51% -136.80% +3,892.20%
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