Americas Car-Mart Inc (CRMT) — Financial Flexibility Index

Latest as of January 2026: 0.00x

Americas Car-Mart Inc (CRMT) has a Financial Flexibility Index of 0.00x as of January 2026. Free cash flow of $-4.40 Million (operating CF $-5.92 Million minus capex $1.52 Million) represents 0% of total liabilities ($1.15 Billion). Also explore Americas Car-Mart Inc net asset momentum to track the company's year-over-year net asset growth rate.

Financial Flexibility Index

0.00x
Free Cash Flow / Total Liabilities

Free Cash Flow

$-4.40 Million
Operating CF − Capex

Total Liabilities

$1.15 Billion
USD

Capital Expenditures

$1.52 Million
USD

Americas Car-Mart Inc Financial Flexibility Index (1990–2025)

Historical Financial Flexibility Index trend for Americas Car-Mart Inc across 36 annual periods. Check CRMT PP&E to net assets ratio to assess the company's strategic physical and investment asset allocation.

Annual Financial Flexibility Index for Americas Car-Mart Inc (1990–2025)

Year-by-year free cash flow to debt coverage for Americas Car-Mart Inc. For the full company profile including market capitalisation, see CRMT company net worth.

Year Flexibility Index Free Cash Flow (USD) Operating CF Total Liabilities YoY Change
2025 -0.04x $-44.92 Million $-48.76 Million $1.04 Billion ▲ +35.6%
2024 -0.07x $-67.75 Million $-73.90 Million $1.01 Billion ▲ +34.7%
2023 -0.10x $-115.74 Million $-137.97 Million $1.12 Billion ▲ +25.4%
2022 -0.14x $-93.39 Million $-114.28 Million $675.95 Million ▼ -27.9%
2021 -0.11x $-44.86 Million $-53.81 Million $415.26 Million ▼ -249.5%
2020 0.07x $26.34 Million $20.92 Million $364.56 Million ▼ -42.2%
2019 0.12x $28.93 Million $24.90 Million $231.63 Million ▲ +129.4%
2018 0.05x $12.25 Million $9.99 Million $225.05 Million ▲ +16.7%
2017 0.05x $8.92 Million $7.33 Million $191.25 Million ▼ -56.0%
2016 0.11x $18.81 Million $14.29 Million $177.48 Million ▲ +10.1%
2015 0.10x $16.40 Million $12.39 Million $170.37 Million ▼ -50.2%
2014 0.19x $28.97 Million $21.88 Million $149.89 Million ▲ +585.0%
2013 0.03x $4.39 Million $-1.34 Million $155.60 Million ▼ -78.0%
2012 0.13x $16.15 Million $11.70 Million $126.07 Million ▼ -47.1%
2011 0.24x $21.66 Million $16.86 Million $89.40 Million ▲ +24.8%
2010 0.19x $14.58 Million $8.12 Million $75.08 Million ▼ -28.3%
2009 0.27x $16.94 Million $14.28 Million $62.55 Million ▲ +204.7%
2008 0.09x $5.63 Million $3.08 Million $63.37 Million ▼ -59.8%
2007 0.22x $11.03 Million $8.31 Million $49.87 Million ▲ +569.3%
2006 -0.05x $-2.75 Million $-7.76 Million $58.36 Million ▼ -140.9%
2005 0.12x $4.66 Million $-1.51 Million $40.40 Million ▼ -33.2%
2004 0.17x $5.64 Million $4.24 Million $32.66 Million ▼ -17.5%
2003 0.21x $7.51 Million $5.34 Million $35.88 Million ▲ +655.6%
2002 0.03x $2.09 Million $741.01K $75.33 Million ▼ -93.3%
2001 0.41x $97.85 Million $93.96 Million $238.09 Million ▲ +37.3%
2000 0.30x $67.94 Million $60.16 Million $227.02 Million ▼ -57.4%
1999 0.70x $79.50 Million $28.70 Million $113.30 Million ▲ +446.3%
1998 0.13x $7.00 Million $-12.50 Million $54.50 Million ▲ +260.6%
1997 -0.08x $-200.00K $-1.30 Million $2.50 Million ▼ -156.0%
1996 0.14x $1.30 Million $-3.20 Million $9.10 Million ▲ +21.6%
1995 0.12x $4.30 Million $-14.60 Million $36.60 Million ▼ -89.3%
1994 1.10x $5.40 Million $-1.50 Million $4.90 Million ▲ +320.4%
1993 -0.50x $-400.00K $-400.00K $800.00K ▼ -122.5%
1992 2.22x $6.00 Million $5.70 Million $2.70 Million ▲ +19900.0%
1991 0.01x $100.00K $-300.00K $9.00 Million ▼ -91.5%
1990 0.13x $1.20 Million $100.00K $9.20 Million
Financial Flexibility Index = (Operating CF − Capex) / Total Liabilities = Free Cash Flow / Total Liabilities