AZO

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Symbol:
NYSE / Sector: Consumer Cyclical / Sub-Sector: Specialty Retail / Stock Type: Cyclical
# of Employee: 84,000 / Fiscal Year End: 2016-08-31 / Stock Type: Large Growth
USD / Exchange Rate: 1 at 2016-11-22 /

AutoZone Inc is a retailer and distributor of automotive replacement parts and accessories in the United States. The Company's store carry an extensive product line for cars, sport utility vehicles, vans and light trucks.

Competitors

Competitors List | Key Matrix Details

AMZN | BABA | EBAY | ORLY | ULTA | BBY | GPC | AAP | QVCB | TSCO | QVCA | MELI | BBBY | DKS | PRTY |

Finance Highlights

Key Ratio Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
2007-08-25Annual153.90%10.10%8.95.849.70%9.70%9.70%.0921.007
2008-08-25Annual295.00%10.40%10.63.650.10%9.80%9.80%.046.974
2009-08-25Annual-150.50%9.60%11.6-7.750.10%9.60%9.60%-.0751.057
2010-08-25Annual-119.20%12.00%17.9-15.050.40%10.00%10.00%-.1171.173
2011-08-25Annual-77.30%12.00%22.2-28.851.00%10.50%10.50%-.1761.229
2012-08-25Annual-54.60%9.80%21.3-39.151.50%10.80%10.80%-.1981.227
2013-08-25Annual-59.30%10.90%27.4-46.151.80%11.10%11.10%-.1971.272
2014-08-25Annual-55.00%9.40%26.3-47.952.10%11.30%11.30%-.1771.268
2015-08-25Annual-60.80%10.20%32.1-52.852.30%11.40%11.40%-.1741.187
2016-08-25Annual-60.30%10.10%35.4-58.652.70%11.70%11.70%-.1721.106

Key Ratio Trend

ReportDatePeriodTypeROEFCFMarginFCFPerSharEquityPerSProfitMargContinuousNetMarginDebtEquityCurrentRat
AverageAnnual4.39%-0.44%15.25%-36.66%0.59%2.26%2.26%-29.17%-0.23%
2008-08-25Annual91.68%2.97%19.35%-37.71%0.80%1.03%1.03%-50.00%-3.28%
2009-08-25Annual-151.02%-7.69%9.71%-315.10%0.00%-2.04%-2.04%-263.04%8.52%
2010-08-25Annual20.80%25.00%53.53%-93.72%0.60%4.17%4.17%-56.00%10.97%
2011-08-25Annual35.15%0.00%24.51%-91.97%1.19%5.00%5.00%-50.43%4.77%
2012-08-25Annual29.37%-18.33%-4.03%-35.81%0.98%2.86%2.86%-12.50%-0.16%
2013-08-25Annual-8.61%11.22%28.12%-18.07%0.58%2.78%2.78%0.51%3.67%
2014-08-25Annual7.25%-13.76%-3.75%-3.78%0.58%1.80%1.80%10.15%-0.31%
2015-08-25Annual-10.55%8.51%22.02%-10.36%0.38%0.88%0.88%1.69%-6.39%
2016-08-25Annual0.82%-0.98%10.13%-10.98%0.76%2.63%2.63%1.15%-6.82%


Income Statement Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
2007-08-25Annual6,169,804k3,105,554k121,935k595,672k595,672k69,844,k49.70%9.70%9.70%
2008-08-25Annual6,522,706k3,254,645k120,530k641,606k641,606k63,875,k50.10%9.80%9.80%
2009-08-25Annual6,816,824k3,400,375k146,203k657,049k657,049k55,992,k50.10%9.60%9.60%
2010-08-25Annual7,362,618k3,650,874k161,535k738,311k738,311k49,304,k50.40%10.00%10.00%
2011-08-25Annual8,072,973k3,953,510k172,615k848,974k848,974k43,603,k51.00%10.50%10.50%
2012-08-25Annual8,603,863k4,171,827k177,302k930,373k930,373k39,625,k51.50%10.80%10.80%
2013-08-25Annual9,147,530k4,406,595k187,021k1,016,480k1,016,480k36,581,k51.80%11.10%11.10%
2014-08-25Annual9,475,313k4,540,406k169,359k1,069,744k1,069,744k33,882,k52.10%11.30%11.30%
2015-08-25Annual10,187,340k4,860,309k152,044k1,160,241k1,160,241k32,206,k52.30%11.40%11.40%
2016-08-25Annual10,635,676k5,026,940k150,052k1,241,007k1,241,007k30,488,k52.70%11.70%11.70%

Income Statement Trend

ReportDatePeriodTypeRevenueCostInterestExContinuousNetIncomeDilutedShaProfitMargContinuousNetMargin
AverageAnnual6.05%5.20%1.00%8.13%8.13%-8.80%0.59%2.26%2.26%
2008-08-25Annual5.72%4.80%-1.15%7.71%7.71%-8.55%0.80%1.03%1.03%
2009-08-25Annual4.51%4.48%21.30%2.41%2.41%-12.34%0.00%-2.04%-2.04%
2010-08-25Annual8.01%7.37%10.49%12.37%12.37%-11.94%0.60%4.17%4.17%
2011-08-25Annual9.65%8.29%6.86%14.99%14.99%-11.56%1.19%5.00%5.00%
2012-08-25Annual6.58%5.52%2.72%9.59%9.59%-9.12%0.98%2.86%2.86%
2013-08-25Annual6.32%5.63%5.48%9.26%9.26%-7.68%0.58%2.78%2.78%
2014-08-25Annual3.58%3.04%-9.44%5.24%5.24%-7.38%0.58%1.80%1.80%
2015-08-25Annual7.51%7.05%-10.22%8.46%8.46%-4.95%0.38%0.88%0.88%
2016-08-25Annual4.40%3.43%-1.31%6.96%6.96%-5.33%0.76%2.63%2.63%


Balance Sheet Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
2007-08-25Annual403,200k4,401,509k2,270,455k2,285,894k2,115,615k.0921.007
2008-08-25Annual229,687k5,027,425k2,586,301k2,519,320k2,508,105k.046.974
2009-08-25Annual-433,074k5,751,479k2,561,730k2,706,752k3,044,727k-.0751.057
2010-08-25Annual-738,765k6,310,359k2,611,821k3,063,960k3,246,399k-.1171.173
2011-08-25Annual-1,254,232k7,123,834k2,792,425k3,430,896k3,692,938k-.1761.229
2012-08-25Annual-1,548,025k7,813,664k2,978,946k3,655,592k4,158,072k-.1981.227
2013-08-25Annual-1,687,319k8,579,408k3,278,013k4,169,150k4,410,258k-.1971.272
2014-08-25Annual-1,621,857k9,139,715k3,580,612k4,541,094k4,598,621k-.1771.268
2015-08-25Annual-1,701,390k9,803,739k3,970,294k4,712,873k5,090,866k-.1741.187
2016-08-25Annual-1,787,538k10,387,325k4,239,573k4,690,320k5,697,005k-.1721.106

Balance Sheet Trend

ReportDatePeriodTypeEquityTotalLiabiCurrentAssCurrentLiaNonCurrentDebtEquityCurrentRat
AverageAnnual-32.14%9.70%6.86%8.26%11.37%-29.17%-0.23%
2008-08-25Annual-43.03%14.22%13.91%10.21%18.55%-50.00%-3.28%
2009-08-25Annual-288.55%14.40%-0.95%7.44%21.40%-263.04%8.52%
2010-08-25Annual-70.59%9.72%1.96%13.20%6.62%-56.00%10.97%
2011-08-25Annual-69.77%12.89%6.91%11.98%13.75%-50.43%4.77%
2012-08-25Annual-23.42%9.68%6.68%6.55%12.60%-12.50%-0.16%
2013-08-25Annual-9.00%9.80%10.04%14.05%6.06%0.51%3.67%
2014-08-25Annual3.88%6.53%9.23%8.92%4.27%10.15%-0.31%
2015-08-25Annual-4.90%7.27%10.88%3.78%10.70%1.69%-6.39%
2016-08-25Annual-5.06%5.95%6.78%-0.48%11.91%1.15%-6.82%


Cash Flow Highlights | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
2007-08-25Annual845,194k-224,474k620,720k-228,715k-621,383k
2008-08-25Annual921,100k-243,594k677,506k-243,150k-522,682k
2009-08-25Annual923,808k-272,247k651,561k-263,722k-806,896k
2010-08-25Annual1,196,252k-315,400k880,852k-307,447k-883,493k
2011-08-25Annual1,291,538k-321,604k969,934k-318,994k-973,771k
2012-08-25Annual1,223,981k-378,054k845,927k-374,761k-843,433k
2013-08-25Annual1,415,011k-414,451k1,000,560k-527,295k-847,022k
2014-08-25Annual1,341,234k-449,228k892,006k-447,968k-911,557k
2015-08-25Annual1,525,123k-490,579k1,034,544k-567,911k-896,702k
2016-08-25Annual1,577,329k-498,791k1,078,538k-505,835k-1,052,797k

Cash Flow Trend

ReportDatePeriodTypeOperatingCCAPEXFreeCashFlInvestmentFinancialF
AverageAnnual5.95%-9.39%6.97%-12.07%-8.45%
2008-08-25Annual8.98%-8.52%9.15%-6.31%15.88%
2009-08-25Annual0.29%-11.76%-3.83%-8.46%-54.38%
2010-08-25Annual29.49%-15.85%35.19%-16.58%-9.49%
2011-08-25Annual7.97%-1.97%10.11%-3.76%-10.22%
2012-08-25Annual-5.23%-17.55%-12.79%-17.48%13.38%
2013-08-25Annual15.61%-9.63%18.28%-40.70%-0.43%
2014-08-25Annual-5.21%-8.39%-10.85%15.04%-7.62%
2015-08-25Annual13.71%-9.20%15.98%-26.77%1.63%
2016-08-25Annual3.42%-1.67%4.25%10.93%-17.41%



Finance Detail

Income Statement Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-082008-082009-082010-082011-082012-082013-082014-082015-082016-08
1: Revenue6169804k6522706k6816824k7362618k8072973k8603863k9147530k9475313k10187340k10635676k
2: Cost of revenue3105554k3254645k3400375k3650874k3953510k4171827k4406595k4540406k4860309k5026940k
3: Gross profit3064250k3268061k3416449k3711744k4119463k4432036k4740935k4934907k5327031k5608736k
4: Operating expenses2008984k2143927k2240387k2392330k2624660k2803145k2967837k3104684k3373980k3548341k
5: Sales, General and administrative2008984k2143927k2240387k2392330k2624660k2803145k2967837k3104684k3373980k3548341k
6: Other operating expenses0000000000
7: Operating income1055266k1124134k1176062k1319414k1494803k1628891k1773098k1830223k1953051k2060395k
8: Interest Expense121935k120530k146203k161535k172615k177302k187021k169359k152044k150052k
9: Other income (expense)2819k3785k3887k2626k2058k1397k1606k1850k1605k2371k
10: Income before income taxes936150k1007389k1033746k1160505k1324246k1452986k1587683k1662714k1802612k1912714k
11: Provision for income taxes340478k365783k376697k422194k475272k522613k571203k592970k642371k671707k
12: Minority interest0000000000
13: Other income0000000000
14: Net income from continuing operations595672k641606k657049k738311k848974k930373k1016480k1069744k1160241k1241007k
15: Net income from discontinuing ops0000000000
16: Extraordinary items0000000000
17: Cumulative effect of accounting changes0000000000
18: Other0000000000
19: Net income595672k641606k657049k738311k848974k930373k1016480k1069744k1160241k1241007k
20: Preferred dividend0000000000
21: Net income available to common shareholders595672k641606k657049k738311k848974k930373k1016480k1069744k1160241k1241007k
22: Earnings per share0000000000
23: Basic8.6210.1411.8915.2319.9124.0428.2832.1636.7641.52
24: Diluted8.5310.0411.7314.9719.4723.4827.7931.5736.0340.7
25: Weighted average shares outstanding0000000000
26: Basic69101k63295k55282k48488k42632k38696k35943k33267k31560k29889k
27: Diluted69844k63875k55992k49304k43603k39625k36581k33882k32206k30488k
28: EBITDA1219215k1297428k1360382k1514124k1702032k1842119k2001955k2083340k2224575k2360163k
29: Total operating expenses2008984k2143927k2240387k2392330k2624660k2803145k2967837k3104684k3373980k3548341k


Balance Sheet Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-082008-082009-082010-082011-082012-082013-082014-082015-082016-08
1: Assets4804709k5257112k5318405k5571594k5869602k6265639k6892089k7517858k8102349k8599787k
2: Current assets2270455k2586301k2561730k2611821k2792425k2978946k3278013k3580612k3970294k4239573k
3: Cash86654k242461k92706k98280k97606k103093k142191k124485k175309k189734k
4: Cash and cash equivalents86654k242461k92706k98280k97606k103093k142191k124485k175309k189734k
5: Short-term investments0000000000
6: Receivables59876k71241k126514k125802k140690k161375k171638k200899k247872k287680k
7: Inventories2007430k2150109k2207497k2304579k2466107k2627983k2861014k3140100k3421635k3631916k
8: Deferred income taxes00000846k1727k4708k3631k0
9: Prepaid expenses0000000000
10: Other current assets116495k122490k135013k83160k88022k85649k101443k110420k121847k130243k
11: Non-current assets2534254k2670811k2756675k2959773k3077177k3286693k3614076k3937246k4132055k4360214k
12: Property, plant and equipment2177842k2289656k2354357k2519946k2668875k2855928k3071361k3310475k3505632k3733254k
13: Land625992k643699k656516k690098k740276k800175k862565k925359k966916k998460k
14: Buildings and improvements0000000000
15: Fixtures and equipment780199k850679k887521k923595k994369k1016835k1122821k1254445k1422949k1550792k
16: Other properties1989354k2144899k2265377k2453568k2637227k2842751k3073139k3320870k3501842k3780863k
17: Property and equipment, at cost3395545k3639277k3809414k4067261k4371872k4659761k5058525k5500674k5891707k6330115k
18: Accumulated Depreciation-1217703k-1349621k-1455057k-1547315k-1702997k-1803833k-1987164k-2190199k-2386075k-2596861k
19: Equity and other investments0000000000
20: Goodwill302645k302645k302645k302645k302645k302645k367829k367829k391887k391887k
21: Intangible assets000000074868k69730k60981k
22: Deferred income taxes21331k38283k59067k46223k10661k33796k4069k45137k42615k36855k
23: Prepaid pension costs0000000000
24: Other long-term assets32436k40227k40606k90959k94996k94324k170817k138937k122191k137237k
25: Liabilities and stockholders' equity4804709k5257112k5318405k5571594k5869602k6265639k6892089k7517858k8102349k8599787k
26: Liabilities4401509k5027425k5751479k6310359k7123834k7813664k8579408k9139715k9803739k10387325k
27: Current liabilities2285894k2519320k2706752k3063960k3430896k3655592k4169150k4541094k4712873k4690320k
28: Short-term debt16015k15917k026186k34082k49881k173733k180910k00
29: Capital leases000025296k032246k36505k40528k44834k
30: Accounts payable1870668k2043271k2118746k2433050k2755853k2926740k3307535k3609199k3864168k4095854k
31: Deferred income taxes82152k136803k171590k146971k166449k183833k202922k227891k259062k0
32: Taxes payable0035145k25385k25185k17053k108073k118532k144906k138134k
33: Accrued liabilities132342k259125k381271k432368k424031k478085k344641k368057k252627k411498k
34: Deferred revenues0000000000
35: Other current liabilities184717k64204k000000151582k0
36: Non-current liabilities2115615k2508105k3044727k3246399k3692938k4158072k4410258k4598621k5090866k5697005k
37: Long-term debt1935618k2250m2726900k2882300k3317600k3718302k4013267k4162890k4624876k4924119k
38: Capital leases0000000000
39: Deferred taxes liabilities000000000284500k
40: Accrued liabilities0000000000
41: Deferred revenues0000000000
42: Pensions and other benefits0000000000
43: Minority interest0000000000
44: Other long-term liabilities179997k258105k317827k364099k375338k439770k396991k435731k465990k488386k
45: Stockholders' equity403200k229687k-433074k-738765k-1254232k-1548025k-1687319k-1621857k-1701390k-1787538k
46: Preferred stock0000000000
47: Common stock0000441k399k368k339k321k303k
48: Other Equity0000000000
49: Additional paid-in capital545404k537005k549326k557955k591384k689890k814457k843504k938355k1054647k
50: Retained earnings546049k206099k136935k-245344k-643998k-1033197k-1378936k-1529123k-1418738k-1602186k
51: Treasury stock-679416k-509918k-1027879k-945409k-1082368k-1053104k-1002420k-807674k-971810k-932773k
52: Accumulated other comprehensive income-8837k-3499k-91456k-105967k-119691k-152013k-120788k-128903k-249518k-307529k
53: Total assets4804709k5257112k5318405k5571594k5869602k6265639k6892089k7517858k8102349k8599787k
54: Total liabilities and stockholders' equity4804709k5257112k5318405k5571594k5869602k6265639k6892089k7517858k8102349k8599787k
55: Total cash86654k242461k92706k98280k97606k103093k142191k124485k175309k189734k
56: Total current assets2270455k2586301k2561730k2611821k2792425k2978946k3278013k3580612k3970294k4239573k
57: Property, plant and equipment, net2177842k2289656k2354357k2519946k2668875k2855928k3071361k3310475k3505632k3733254k
58: Total non-current assets2534254k2670811k2756675k2959773k3077177k3286693k3614076k3937246k4132055k4360214k
59: Total current liabilities2285894k2519320k2706752k3063960k3430896k3655592k4169150k4541094k4712873k4690320k
60: Total non-current liabilities2115615k2508105k3044727k3246399k3692938k4158072k4410258k4598621k5090866k5697005k
61: Total liabilities4401509k5027425k5751479k6310359k7123834k7813664k8579408k9139715k9803739k10387325k
62: Total stockholders' equity403200k229687k-433074k-738765k-1254232k-1548025k-1687319k-1621857k-1701390k-1787538k


Cash Flow Details | Key Ratio H | Income H | Balance H | Cash H | Income D | Balance D | Cash D | Top

0: years2007-082008-082009-082010-082011-082012-082013-082014-082015-082016-08
1: Cash Flows From Operating Activities845194k921100k923808k1196252k1291538k1223981k1415011k1341234k1525123k1577329k
2: Net income595672k641606k657049k738311k0930373k1016480k1069744k1160241k1241007k
3: Depreciation & amortization161130k169509k180433k192084k205171k211831k227251k251267k269919k297397k
4: Amortization of debt discount/premium and issuance costs003644k6495k08066k8239k6856k6230k7980k
5: Investment/asset impairment charges0000000000
6: Investments losses (gains)0000000000
7: Deferred income taxes24844k67474k46318k-9023k44667k25557k19704k-14698k35971k45019k
8: (Gain) Loss from discontinued operations0000000000
9: Extraordinary items0000000000
10: Cumulative effect of accounting change0000000000
11: Stock based compensation0019135k19120k26625k33363k37307k39390k40995k39825k
12: Accounts receivable00-56823k782k-14605k-21276k-8196k-27963k-36466k-41447k
13: Inventory-160780k-137841k-76337k-96077k-155421k-167914k-232846k-276834k-266776k-227518k
14: Prepaid expenses0000000000
15: Accounts payable0000000000
16: Accrued liabilities0000000000
17: Interest payable0000000000
18: Income taxes payable0032264k12474k34319k56754k61003k46555k74487k50122k
19: Other working capital224302k170269k126532k354337k336753k210268k352821k270688k288417k281396k
20: Other non-cash items26k10083k-8407k-22251k814029k-63041k-66752k-23771k-47895k-116452k
21: Cash Flows From Investing Activities-228715k-243150k-263722k-307447k-318994k-374761k-527295k-447968k-567911k-505835k
22: Investments in property, plant, and equipment-224474k-243594k-272247k-315400k-321604k-378054k-414451k-449228k-490579k-498791k
23: Property, plant, and equipment reductions3453k4014k10663k11489k3301k6573k9765k000
24: Acquisitions, net000000-116084k0-75744k0
25: Purchases of investments-94615k-54282k-48444k-56156k-43772k-45665k-44469k-49736k-49740k-130170k
26: Sales/Maturities of investments86921k50712k46306k52620k43081k42385k37944k46796k46411k120472k
27: Investments in technologies0000000000
28: Sales of technologies0000000000
29: Purchases of intangibles0000000-11112k-10m-10m
30: Sales of intangibles0000000000
31: Other investing charges000000015312k11741k12654k
32: Cash Flows From Financing Activities-621383k-522682k-806896k-883493k-973771k-843433k-847022k-911557k-896702k-1052797k
33: Short-term borrowing00277600k155400k141501k-81271k118652k256800k00
34: Long-term debt issued00500m26186k500m500m800m400m650m650m
35: Long-term debt repayment00-317740k-16597k-222081k-26750k-527545k-500m-534986k-536320k
36: Excess tax benefit from stock based compensation008407k22251k34945k63041k66752k23771k47895k63731k
37: Common stock issued58952k27065k39855k52922k55846k00000
38: Preferred stock issued0000000000
39: Warrant issued0000000000
40: Redemption of preferred stock0000000000
41: Repurchases of treasury stock-761887k-849196k-1300002k-1123655k-1466802k-1362869k-1387315k-1099212k-1271416k-1452462k
42: Cash dividends paid0000000000
43: Dividend payable0000000000
44: Other financing activities81552k299449k-15016k0-17180k64416k82434k7084k211805k222254k
45: Effect of exchange rate changes0539k-2945k262k553k-300k-1596k585k-9686k-4272k
46: Net change in cash-4904k155807k-149755k5574k-674k5487k39098k-17706k50824k14425k
47: Cash at beginning of period91558k86654k242461k92706k98280k97606k103093k142191k124485k175309k
48: Cash at end of period86654k242461k92706k98280k97606k103093k142191k124485k175309k189734k
49: Free Cash Flow0000000000
50: Operating cash flow845194k921100k923808k1196252k1291538k1223981k1415011k1341234k1525123k1577329k
51: Capital expenditure-224474k-243594k-272247k-315400k-321604k-378054k-414451k-449228k-490579k-498791k
52: Free cash flow620720k677506k651561k880852k969934k845927k1000560k892006k1034544k1078538k
53: Supplemental schedule of cash flow data0000000000
54: Cash paid for income taxes00299021k420575k405654k0498587k556974k539152k582384k
55: Cash paid for interest00132905k150745k155531k0174037k166477k137630k136731k
56: Net cash provided by operating activities845194k921100k923808k1196252k1291538k1223981k1415011k1341234k1525123k1577329k
57: Net cash used for investing activities-228715k-243150k-263722k-307447k-318994k-374761k-527295k-447968k-567911k-505835k
58: Net cash provided by (used for) financing activities-621383k-522682k-806896k-883493k-973771k-843433k-847022k-911557k-896702k-1052797k



Note