CarMax Inc
0HTQ.L
$40.45 -1.25%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Specialty Retail
Q2 2025
Published: Sep 27, 2024

Earnings Highlights

  • Revenue of $7.01B down 0.9% year-over-year
  • EPS of $0.85 increased by 13.3% from previous year
  • Gross margin of 10.8%
  • Net income of 132.81M
  • "N/A" - N/A

CarMax Inc (0HTQ.L) QQ2 2025 Results: Revenue Flat to Slightly Down, Margin Expansion Supports Income Quality Amid Leveraged Balance Sheet

Executive Summary

CarMax reported solid operating performance in QQ2 2025, with revenue of $7.013B and net income of $132.8M, delivering EPS of $0.85. The quarter marks a notable turning point in operating profitability, as operating income rose to $149.9M from a modest prior-quarter or year-ago trajectory, producing a positive margin (2.14%) despite a high debt burden. Gross margin stood at 10.84%, supported by a favorable product mix and cost discipline in selling, general, and administrative expenses. Cash flow performance remained robust, with operating cash flow of $619.1M and free cash flow of $509.9M, underscoring the company’s ability to fund working capital needs and capital expenditures while maintaining liquidity. Nevertheless, CarMax continues to carry a substantial leverage position (total debt around $19.21B and net debt ~ $18.68B) and a relatively tight liquidity liquidity buffer given a current ratio of 2.25 and quick ratio of 0.68. The balance sheet health is adequate to weather cyclical volatility, but the debt load and modest inventory turnover imply ongoing monitoring of debt deleveraging, working capital efficiency, and capital allocation strategy. From a market standpoint, the trailing four-quarter results reflect a mature, cash-generative model in a competitive used-vehicle environment, with upside potential tied to financing profitability, cost controls, and selective store and product mix optimization.

Key Performance Indicators

Revenue

7.01B
QoQ: -1.40% | YoY:-0.85%

Gross Profit

760.47M
10.84% margin
QoQ: 4.77% | YoY:9.14%

Operating Income

149.91M
QoQ: 1 292.18% | YoY:-39.08%

Net Income

132.81M
QoQ: -12.88% | YoY:11.95%

EPS

0.85
QoQ: -12.37% | YoY:13.33%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $7.013B; YoY change: -0.85%; QoQ change: -1.40% Gross Profit: $760.5M; YoY +9.14%; QoQ +4.77% Operating Income: $149.9M; YoY -39.08%; QoQ +1,292.18% Net Income: $132.8M; YoY +11.95%; QoQ -12.88% EPS (diluted): $0.85; YoY +13.33%; QoQ -12.37% Gross Margin: 10.84%; Operating Margin: 2.14%; Net Margin: 1.89% Depreciation & Amortization: $72.72M; Interest Expense: $240.02M Cash Flow: Operating cash flow $619.1M; Free cash flow $509.9M; Capex $-109.2M Balance Sheet: Total assets $27.30B;...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 6,594.68 0.64 -6.0% View
Q1 2026 7,546.54 1.38 +6.1% View
Q4 2025 6,003.12 0.58 +6.7% View
Q3 2025 6,223.37 0.81 +1.2% View
Q2 2025 7,013.53 0.85 -0.9% View