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Karooooo KARO

US equityMarket cap rank #2819Software - Application
$61.00 +$1.00 (+1.67%)
Pre-market · Oct 6, 7:40 am ET · After hours $61.00 0.00%
Open$60.00
Prev close$60.00
Day range$60.00 – $61.56
Volume67.4K
Market cap$1.88B
P/E (TTM)30.6
Dividend yield2.23%

Fundamentals

Latest reported quarter: Q1, ended May 2026 · reported in ZAR

RevenueZAR 1.56B+22.5% YoY
Operating profitZAR 409.69M+16.5% YoY
Net profitZAR 298.96M+11.2% YoY
Diluted EPSZAR 9.53+11.5% YoY
Free cash flowZAR 537.29M-16.3% YoY
Operating cash flowZAR 537.29M

Revenue, last 8 quarters

ZAR 1.1BAug '24ZAR 1.2BNov '24ZAR 1.2BFeb '25ZAR 1.3BMay '25ZAR 1.3BAug '25ZAR 1.4BNov '25ZAR 1.4BFeb '26ZAR 1.6BMay '26

Net profit, last 8 quarters

ZAR 215.8MAug '24ZAR 240.7MNov '24ZAR 255.3MFeb '25ZAR 268.9MMay '25ZAR 248.6MAug '25ZAR 268.5MNov '25ZAR 225.2MFeb '26ZAR 299.0MMay '26

Diluted EPS by quarter

6.85Aug '247.68Nov '248.11Feb '258.55May '257.88Aug '258.55Nov '257.19Feb '269.53May '26

Free cash flow by quarter

ZAR 394.1MAug '24ZAR 442.4MNov '24ZAR 260.5MFeb '25ZAR 642.0MMay '25ZAR 266.8MAug '25ZAR 556.5MNov '25ZAR 501.8MFeb '26ZAR 537.3MMay '26

Annual revenue

ZAR 2.3BFY21ZAR 2.7BFY22ZAR 3.5BFY23ZAR 4.2BFY24ZAR 4.6BFY25ZAR 5.5BFY26

Profitability & balance sheet

Gross margin68.3%
Operating margin26.2%
Net margin19.1%

Where the revenue comes from

Quarter 2027/Q1

By business line

  • CartrackZAR 1.39B 88.7%
  • Karooooo LogisticsZAR 177.04M 11.3%

This company reports in its own local currency, not U.S. dollars. Every figure below is labeled with its real currency, not automatically converted.

Income statement

Line item 2027 Q1
(ZAR)
2026 ANNUAL
(ZAR)
2026 Q4
(ZAR)
2026 Q3
(ZAR)
2026 Q2
(ZAR)
Dividend Per Share ZAR 0.00 ZAR 22.09 ZAR 0.00 ZAR 0.00 ZAR 22.09
Basic EPS ZAR 9.53 ZAR 32.17 ZAR 7.19 ZAR 8.55 ZAR 7.88
Operating Profit ZAR 409.69M ZAR 1.41B ZAR 337.72M ZAR 369.18M ZAR 356.02M
Other Operating Expenses -ZAR 2.94M -ZAR 14.98M -ZAR 1.45M -ZAR 5.82M -ZAR 6.24M
Asset Impairment Loss ZAR 36.92M ZAR 124.53M ZAR 38.12M ZAR 37.45M ZAR 15.38M
Research & Development ZAR 75.16M ZAR 261.47M ZAR 75.02M ZAR 62.62M ZAR 60.05M
Net Income to Parent Company ZAR 294.26M ZAR 993.92M ZAR 222.14M ZAR 264.11M ZAR 243.58M
-General & Admin Expense ZAR 310.53M ZAR 1.10B ZAR 289.71M ZAR 285.41M ZAR 276.95M
-Selling & Marketing Expense ZAR 239.52M ZAR 841.45M ZAR 220.47M ZAR 230.02M ZAR 210.28M
Selling and Admin Expenses ZAR 550.06M ZAR 1.94B ZAR 510.18M ZAR 515.42M ZAR 487.23M
Net Non-Operating Interest Income (Expense) -ZAR 16.97M -ZAR 43.40M -ZAR 17.47M -ZAR 14.87M -ZAR 6.32M
Non-Operating Interest Income ZAR 8.56M ZAR 34.48M ZAR 7.62M ZAR 5.50M ZAR 10.93M
Diluted EPS ZAR 9.53 ZAR 32.17 ZAR 7.19 ZAR 8.55 ZAR 7.88
Net Income to Common Stockholders ZAR 294.26M ZAR 993.92M ZAR 222.14M ZAR 263.91M ZAR 243.58M
Minority Interests ZAR 4.70M ZAR 17.19M ZAR 3.04M ZAR 4.38M ZAR 4.99M
Profit from Continuing Operations ZAR 298.96M ZAR 1.01B ZAR 225.18M ZAR 268.49M ZAR 248.57M
Net Profit ZAR 298.96M ZAR 1.01B ZAR 225.18M ZAR 268.49M ZAR 248.57M
Tax ZAR 93.76M ZAR 348.54M ZAR 95.37M ZAR 86.02M ZAR 88.96M
Pretax Profit ZAR 392.71M ZAR 1.36B ZAR 320.55M ZAR 354.51M ZAR 337.53M
Non-Operating Interest Expense ZAR 25.54M ZAR 77.26M ZAR 25.09M ZAR 20.38M ZAR 17.25M
Operating Expense ZAR 659.20M ZAR 2.31B ZAR 621.87M ZAR 609.67M ZAR 556.41M
Gross Profit ZAR 1.07B ZAR 3.72B ZAR 959.59M ZAR 978.85M ZAR 912.43M
Cost of Revenue ZAR 495.07M ZAR 1.75B ZAR 488.79M ZAR 430.98M ZAR 431.46M
Total Operating Revenue ZAR 1.56B ZAR 5.48B ZAR 1.45B ZAR 1.41B ZAR 1.34B
Total Revenue as Reported ZAR 1.56B ZAR 5.48B ZAR 1.45B ZAR 1.41B ZAR 1.34B
-Less:Impairment of Capital Assets – ZAR 0.00 ZAR 0.00 – –
Total Other Finance Costs – ZAR 618,000.00 – – –
Other Income (Expense) – -ZAR 11.67M ZAR 302,000.00 ZAR 203,000.00 -ZAR 12.17M
Special Income (Charges) – -ZAR 11.67M ZAR 302,000.00 ZAR 203,000.00 -ZAR 12.17M
-Less:Other Special Charges – ZAR 11.67M -ZAR 302,000.00 -ZAR 203,000.00 ZAR 12.17M
Other Preferred Stock Dividends – – – ZAR 203,000.00 –

Cash flow

Line item 2027 Q1
(ZAR)
2026 Q4
(ZAR)
2026 Q3
(ZAR)
2026 Q2
(ZAR)
2026 Q1
(ZAR)
Free Cash Flow ZAR 537.29M ZAR 501.83M ZAR 556.45M ZAR 266.82M ZAR 641.96M
Net cash flow from continuing operations ZAR 537.29M ZAR 501.83M ZAR 556.45M ZAR 266.82M ZAR 641.96M
Other Non-Cash Items ZAR 559.94M ZAR 622.23M ZAR 598.02M ZAR 428.21M ZAR 649.42M
Net cash flow from investing -ZAR 493.05M -ZAR 302.27M -ZAR 332.22M -ZAR 262.35M -ZAR 317.12M
Financing Cash Flow -ZAR 49.02M ZAR 98.81M -ZAR 64.99M -ZAR 705.62M -ZAR 35.30M
Operating Cash Flow ZAR 537.29M ZAR 501.83M ZAR 556.45M ZAR 266.82M ZAR 641.96M
Ending Cash Balance ZAR 755.53M ZAR 746.21M ZAR 531.35M ZAR 392.77M ZAR 1.10B
Net Change in Cash -ZAR 4.79M ZAR 298.38M ZAR 159.24M -ZAR 701.15M ZAR 289.55M
Beginning Cash Balance ZAR 746.21M ZAR 531.35M ZAR 392.77M ZAR 1.10B ZAR 837.58M
Effect of Exchange Rate Changes ZAR 14.11M -ZAR 83.52M -ZAR 20.66M -ZAR 8.75M -ZAR 24.46M
Change in Working Capital – -ZAR 23.56M – – –

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