AutoZone Inc

AZO

New York Stock Exchange. Currency in USD

2,379.17 -1.28 ( -0.05% )

Real time prices: December 19

Date 2022 2021 2020 2019 2018
Assets 15.28B 14.52B 14.42B 9.90B 9.35B
Current Assets 6.63B 6.42B 6.81B 5.03B 4.64B
Cash and Cash Equivalents 264.38M 1.17B 1.75B 176.30M 217.82M
Cash And Short Term Investments 264.38M 1.17B 1.75B 176.30M 217.82M
Inventory 5.64B 4.64B 4.47B 4.32B 3.94B
Current Net Receivables 504.89M 378.39M 364.77M 309.00M 258.14M
Non Current Assets 9.05B 8.10B 7.61B 4.85B 4.69B
Property Plant and Equipment 5.17B 4.86B 4.51B 4.40B 4.22B
Accumulated Depreciation and Amortization 4.28B 3.95B 3.63B 3.31B 3.07B
Intangible Assets 302.64M 302.64M 304.09M 308.26M 312.43M
Intangible Assets Excluding Goodwill - - 1.44M 5.62M 9.79M
Goodwill 302.64M 302.64M 302.64M 302.64M 302.64M
Investments 112.55M 113.92M 147.24M 138.93M 3.49B
Long Term Investments - - - 70.97M 75.23M
Short Term Investments - - - 67.96M 59.44M
Other Current Assets 220.71M 225.76M 223.00M 224.28M 216.24M
Other Non Current Assets 203.13M 181.60M 189.17M 133.35M -104.93M
Other Non Current Assets 203.13M 181.60M 189.17M 133.35M -104.93M
Liabilities 22.25B 19.59B 18.42B 11.72B 10.76B
Current Liabilities 8.59B 7.37B 6.28B 5.51B 5.03B
Current Accounts Payable 7.30B 6.01B 5.16B 4.86B 4.41B
Deferred Revenue - - - - -
Current Debt 92.88M 89.93M 291.34M 56.25M 52.29M
Short Term Debt 336.28M 326.50M 291.34M 56.25M 52.29M
Non Current Liabilities 10.44B 9.13B 9.02B 5.79B 5.55B
Capital Lease Obligations 217.43M 186.12M 155.85M 56.25M 52.29M
Long Term Debt 12.28B 10.57B 11.06B 11.47B 11.36B
Current Long Term Debt - - 0 - 52.29M
Non Current Long Term Debt 6.12B 5.27B 5.51B 5.21B 5.01B
Other Current Liabilities 762.52M 814.02M 638.97M 443.31M 413.93M
Other Non Current Liabilities 731.61M 704.19M 649.64M 579.30M 547.52M
Equity 207,000 230,000 237,000 254,000 275,000
Treasury Stock 3.26B 2.54B 356.49M 1.40B 1.23B
Retained Earnings -1.33B -419.83M -1.45B -1.31B -1.21B
Shares Outstanding 19.13M 21.12M 23.33M 24.23M 25.74M
Net Income 2.43B 2.17B 1.73B 1.62B 1.34B