bf/NYSE:IAA_icon.jpeg

COM:IAAI

IAA Inc

  • Stock

Last Close

39.93

20/03 20:00

Market Cap

5.34B

Beta: -

Volume Today

22.19M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Mar '17
Jun '17
Sep '17
Dec '17
Mar '18
Jun '18
Sep '18
Dec '18
Mar '19
Jun '19
Sep '19
Dec '19
Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Jan '22
Apr '22
Jul '22
Oct '22
Jan '23
net income
30.50M
-
35.60M
16.72%
26.20M
26.40%
69.10M
163.74%
48.30M
30.10%
49.80M
3.11%
39M
21.69%
46.60M
19.49%
54.50M
16.95%
51.30M
5.87%
41.80M
18.52%
45.60M
9.09%
44.70M
1.97%
33.20M
25.73%
52.80M
59.04%
64.10M
21.40%
72.50M
13.10%
82.90M
14.34%
65.70M
20.75%
73.30M
11.57%
81.50M
11.19%
82.70M
1.47%
50.30M
39.18%
77.90M
54.87%
depreciation and amortization
23.20M
-
22.90M
1.29%
23.10M
0.87%
23.90M
3.46%
24.10M
0.84%
24.70M
2.49%
24.30M
1.62%
24.30M
0%
21.80M
10.29%
22.10M
1.38%
108.80M
392.31%
-64.30M
159.10%
22.50M
134.99%
19.60M
12.89%
19.40M
1.02%
19.60M
1.03%
19.80M
1.02%
20.50M
3.54%
21.20M
3.41%
25M
17.92%
26.10M
4.40%
26.60M
1.92%
25.20M
5.26%
27.70M
9.92%
deferred income tax
-1M
-
15.10M
1,610.00%
200K
98.68%
-35.30M
17,750%
-300K
99.15%
-1.10M
266.67%
-800K
27.27%
-700K
12.50%
-100K
85.71%
700K
800%
-400K
157.14%
400K
200%
-300K
175%
-1.20M
300%
900K
175%
2.60M
188.89%
3.30M
26.92%
2.30M
30.30%
1.30M
43.48%
-7.60M
684.62%
-700K
90.79%
-1.60M
128.57%
-800K
50%
-2.70M
237.50%
stock based compensation
800K
-
900K
12.50%
1M
11.11%
1.10M
10%
900K
18.18%
900K
0%
1M
11.11%
1M
0%
1M
0%
900K
10%
1.30M
44.44%
1.50M
15.38%
2.10M
40%
2.40M
14.29%
2M
16.67%
2M
0%
2.80M
40%
2.60M
7.14%
2.90M
11.54%
3.10M
6.90%
2.90M
6.45%
2.90M
0%
3.10M
6.90%
4.10M
32.26%
change in working capital
14.10M
-
18.20M
29.08%
-36.80M
302.20%
-32.40M
11.96%
-32M
1.23%
47.40M
248.13%
12.20M
74.26%
-21.90M
279.51%
-43.50M
98.63%
48.60M
211.72%
32.20M
33.74%
-55.70M
272.98%
25.40M
145.60%
60.90M
139.76%
-29.60M
148.60%
-46.80M
58.11%
20M
142.74%
8.60M
57.00%
-62M
820.93%
-71.60M
15.48%
-5.10M
92.88%
15.60M
405.88%
-600K
103.85%
-23.90M
3,883.33%
accounts receivables
11.60M
-
23.70M
104.31%
-56M
336.29%
-40.10M
28.39%
-20.60M
48.63%
45.30M
319.90%
-3.80M
108.39%
-30.20M
694.74%
-36.50M
20.86%
51.90M
242.19%
-3.90M
107.51%
-34.50M
784.62%
16M
146.38%
49.80M
211.25%
-64.40M
229.32%
-55.70M
13.51%
8.10M
114.54%
24.10M
197.53%
-107.20M
544.81%
-59.40M
44.59%
7.90M
113.30%
58.80M
644.30%
-13.60M
123.13%
-35.10M
158.09%
inventory
-29.40M
-
13M
144.22%
accounts payables
29.40M
-
-13M
144.22%
11.20M
-
other working capital
2.50M
-
-5.50M
320%
19.20M
449.09%
7.70M
59.90%
-11.40M
248.05%
2.10M
118.42%
16M
661.90%
8.30M
48.13%
-7M
184.34%
-3.30M
52.86%
36.10M
1,193.94%
-21.20M
158.73%
9.40M
144.34%
11.10M
18.09%
34.80M
213.51%
8.90M
74.43%
11.90M
33.71%
-15.50M
230.25%
45.20M
391.61%
-12.20M
126.99%
-13M
6.56%
-43.20M
232.31%
13M
130.09%
other non cash items
-400K
-
600K
250%
700K
16.67%
300K
57.14%
2M
566.67%
1.10M
45%
-1.20M
209.09%
1.50M
225%
900K
40%
-93.80M
10,522.22%
94.10M
200.32%
2.90M
96.92%
5.10M
75.86%
2.40M
52.94%
3.30M
37.50%
2.90M
12.12%
12.50M
331.03%
3.60M
71.20%
5.50M
52.78%
-7M
227.27%
6.40M
191.43%
7.90M
23.44%
800K
89.87%
net cash provided by operating activities
67.60M
-
92.50M
36.83%
14.10M
84.76%
27.10M
92.20%
41.30M
52.40%
123.70M
199.52%
76.80M
37.91%
48.10M
37.37%
35.20M
26.82%
124.50M
253.69%
89.90M
27.79%
21.60M
75.97%
97.30M
350.46%
120M
23.33%
47.90M
60.08%
44.80M
6.47%
121.30M
170.76%
129.40M
6.68%
32.70M
74.73%
27.70M
15.29%
97.70M
252.71%
132.60M
35.72%
85.10M
35.82%
83.90M
1.41%
investments in property plant and equipment
-17.10M
-
-14.20M
16.96%
-12M
15.49%
-11.60M
3.33%
-16.20M
39.66%
-12.50M
22.84%
-9.70M
22.40%
-28.30M
191.75%
-21.60M
23.67%
-15.90M
26.39%
-18.90M
18.87%
-12.10M
35.98%
-10.60M
12.40%
-11.50M
8.49%
-19.80M
72.17%
-27.90M
40.91%
-30.30M
8.60%
-27.50M
9.24%
-22.20M
19.27%
-55.60M
150.45%
-30.90M
44.42%
-44.20M
43.04%
-60.80M
37.56%
-42.40M
30.26%
acquisitions net
100K
-
-253.10M
-
purchases of investments
sales maturities of investments
other investing activites
100K
-
200K
100%
-500K
-
100K
120%
900K
800%
-500K
155.56%
100K
120%
100K
-
-16.80M
16,900%
200K
101.19%
100K
50%
400K
-
300K
25%
-800K
366.67%
-4.10M
412.50%
-700K
82.93%
400K
157.14%
36.10M
8,925%
1M
97.23%
-300K
130%
-1.50M
400%
net cash used for investing activites
-17M
-
-14M
17.65%
-12M
14.29%
-12.10M
0.83%
-16.10M
33.06%
-11.60M
27.95%
-10.20M
12.07%
-28.20M
176.47%
-21.60M
23.40%
-15.80M
26.85%
-35.70M
125.95%
-11.80M
66.95%
-10.50M
11.02%
-11.50M
9.52%
-19.40M
68.70%
-27.60M
42.27%
-31.10M
12.68%
-31.60M
1.61%
-22.90M
27.53%
-308.30M
1,246.29%
5.20M
101.69%
-43.20M
930.77%
-61.10M
41.44%
-43.90M
28.15%
debt repayment
-4.20M
-
-4M
4.76%
-4.20M
5%
-4.50M
7.14%
-4.20M
6.67%
-3.70M
11.90%
-4.60M
24.32%
-3.40M
26.09%
-5.60M
64.71%
-2.70M
51.79%
-2.60M
3.70%
-30.30M
1,065.38%
-7.80M
74.26%
-3.70M
52.56%
-3.90M
5.41%
-2.90M
25.64%
-3.10M
6.90%
-776.80M
24,958.06%
-3.10M
99.60%
-3.70M
19.35%
-62.40M
1,586.49%
-117.40M
88.14%
-2.20M
98.13%
-10.60M
381.82%
common stock issued
1M
-
300K
70%
common stock repurchased
-8.40M
-
-18.80M
123.81%
46M
-
dividends paid
-300K
-
other financing activites
-59.10M
-
-65.20M
10.32%
11.30M
117.33%
-25.90M
329.20%
-17.70M
31.66%
-97M
448.02%
-55.70M
42.58%
-8.80M
84.20%
-2.40M
72.73%
-121.40M
4,958.33%
-47.90M
60.54%
30.10M
162.84%
-39.20M
230.23%
-4M
89.80%
4.20M
205.00%
1M
76.19%
-5.50M
650%
644.90M
11,825.45%
-1M
100.16%
159.50M
16,050%
-58M
136.36%
49.90M
186.03%
-5.30M
110.62%
-24.90M
369.81%
net cash used provided by financing activities
-63.30M
-
-69.20M
9.32%
7.10M
110.26%
-30.40M
528.17%
-21.90M
27.96%
-100.70M
359.82%
-60.30M
40.12%
-12.20M
79.77%
-8M
34.43%
-124.10M
1,451.25%
-50.50M
59.31%
-200K
99.60%
-47M
23,400%
-7.70M
83.62%
300K
103.90%
-1.90M
733.33%
-8.60M
352.63%
-131.90M
1,433.72%
-4.10M
96.89%
156.80M
3,924.39%
-128.80M
182.14%
-86.30M
33.00%
-7.50M
91.31%
10.50M
240%
effect of forex changes on cash
300K
-
600K
100%
600K
0%
-600K
200%
400K
166.67%
-900K
325%
200K
122.22%
-1.50M
850%
600K
140%
100K
83.33%
-4.80M
4,900%
-600K
87.50%
-800K
33.33%
100K
112.50%
400K
300%
1.30M
225%
500K
61.54%
1.30M
160%
-1.70M
230.77%
100K
105.88%
-300K
400%
-1.70M
466.67%
-8.20M
382.35%
-500K
93.90%
net change in cash
-12.40M
-
9.90M
179.84%
9.80M
1.01%
-16M
263.27%
3.70M
123.13%
10.50M
183.78%
6.50M
38.10%
6.20M
4.62%
6.20M
0%
-15.30M
346.77%
-1.10M
92.81%
-2.70M
145.45%
39M
1,544.44%
100.90M
158.72%
29.20M
71.06%
16.60M
43.15%
82.10M
394.58%
-32.80M
139.95%
4M
112.20%
-123.70M
3,192.50%
-26.20M
78.82%
1.40M
105.34%
8.30M
492.86%
50M
502.41%
cash at beginning of period
41.80M
-
29.40M
29.67%
39.30M
33.67%
49.10M
24.94%
33.10M
32.59%
36.80M
11.18%
47.30M
28.53%
53.80M
13.74%
60M
11.52%
66.20M
10.33%
50.90M
23.11%
49.80M
2.16%
47.10M
5.42%
86.10M
82.80%
187M
117.19%
216.20M
15.61%
232.80M
7.68%
314.90M
35.27%
282.10M
10.42%
286.10M
1.42%
162.40M
43.24%
136.20M
16.13%
137.60M
1.03%
145.90M
6.03%
cash at end of period
29.40M
-
39.30M
33.67%
49.10M
24.94%
33.10M
32.59%
36.80M
11.18%
47.30M
28.53%
53.80M
13.74%
60M
11.52%
66.20M
10.33%
50.90M
23.11%
49.80M
2.16%
47.10M
5.42%
86.10M
82.80%
187M
117.19%
216.20M
15.61%
232.80M
7.68%
314.90M
35.27%
282.10M
10.42%
286.10M
1.42%
162.40M
43.24%
136.20M
16.13%
137.60M
1.03%
145.90M
6.03%
195.90M
34.27%
operating cash flow
67.60M
-
92.50M
36.83%
14.10M
84.76%
27.10M
92.20%
41.30M
52.40%
123.70M
199.52%
76.80M
37.91%
48.10M
37.37%
35.20M
26.82%
124.50M
253.69%
89.90M
27.79%
21.60M
75.97%
97.30M
350.46%
120M
23.33%
47.90M
60.08%
44.80M
6.47%
121.30M
170.76%
129.40M
6.68%
32.70M
74.73%
27.70M
15.29%
97.70M
252.71%
132.60M
35.72%
85.10M
35.82%
83.90M
1.41%
capital expenditure
-17.10M
-
-14.20M
16.96%
-12M
15.49%
-11.60M
3.33%
-16.20M
39.66%
-12.50M
22.84%
-9.70M
22.40%
-28.30M
191.75%
-21.60M
23.67%
-15.90M
26.39%
-18.90M
18.87%
-12.10M
35.98%
-10.60M
12.40%
-11.50M
8.49%
-19.80M
72.17%
-27.90M
40.91%
-30.30M
8.60%
-27.50M
9.24%
-22.20M
19.27%
-55.60M
150.45%
-30.90M
44.42%
-44.20M
43.04%
-60.80M
37.56%
-42.40M
30.26%
free cash flow
50.50M
-
78.30M
55.05%
2.10M
97.32%
15.50M
638.10%
25.10M
61.94%
111.20M
343.03%
67.10M
39.66%
19.80M
70.49%
13.60M
31.31%
108.60M
698.53%
71M
34.62%
9.50M
86.62%
86.70M
812.63%
108.50M
25.14%
28.10M
74.10%
16.90M
39.86%
91M
438.46%
101.90M
11.98%
10.50M
89.70%
-27.90M
365.71%
66.80M
339.43%
88.40M
32.34%
24.30M
72.51%
41.50M
70.78%

All numbers in (except ratios and percentages)