Hi! 👋 We have a new venture. Please check out Satire Labs, our Medium post, and consider buying our first NFT, "Dumb" SolPunks 😉.
The funniest way to turn your $100 to $1 million. ⛴️ 🚢.
Note: This is a joke. Kinda. We really do think you'll make money 😎🙂

What is ORLY's Cash Flow To Revenue?

  O'Reilly Automotive Inc ( ORLY ) |
1996 - 2021 (26 years)

Cash Flow To Revenue is 
0.25 (1Y +17.4% )

ORLY Stock Price & Cash Flow To Revenue

Cash Flow To Revenue for ORLY competitors.
MNRO LKQ PRTS AZO GPC AAP
Note: Stonk = Stock. Both words are used interchangeably. 🙂

Historical (All-Time) Stats for Cash Flow To Revenue

chevron_right 2021 0.23 +10.4x
( +9.8% / year avg)
chevron_left 1996 0.02
vertical_align_top Peak 0.23 +9.89x *
vertical_align_bottom Bottom -0.03
arrow_drop_up # Up Years 16 16 of 26
years up.
arrow_drop_down # Down Years 10
Up Years = Positive (0%+) YoY change
Down Years = Zero or Negative (0% or less) YoY change

Key Points (Stonk Price Comparison)

  • ORLY's stock price has rallied +20,269% from $2.34 in 1996 , or +19.4x faster than it's cash flow to revenue over the same period.
  • If ORLY grows it's stock at the same rate as it's cash flow to revenue (+9.8%/year) , it's stock price will grow +254% and hit $1215.95 over the next 10 years.
  • ORLY's stock price has gone up 14 of the 16 years (+87%) it's cash flow to revenue were also up.
* A modified method (see: here) is used to calculate changes that involve negative numbers.
5-Year Change 🚀
+47.5%$12.4BNet Revenue (Sales)
+45.2%$5.8BCost of Revenue (Sales)
+49.5%$6.6BGross Profit Margin
+1.38%2.12Gross Profit Margin Ratio
+66.3%$6.8MOther Income/Expenses, Net
+39.9%$3.8BTotal Operating Expenses
+43.1%$9.6BCost & Expenses
+153%$150.0MInterest Expense/Income, Net
+51.1%$319.0MDepreciation & Amortization (D&A)
+63.5%$3.1BEBITDA
+10.9%1.0EBITDA Margin
+65.1%$2.8BOperating Income
+6.24%0.85Operating Margin
+66.3%$6.8MTotal Other Income/Expenses
+61.7%$2.6BPretax Income (Earnings)
+9.66%0.85Pretax Income (Earnings) Margin
+2.68%$616.9MProvision For Income Taxes
+96.4%$2.0BNet Income (Earnings)
+33.2%0.65Net Profit Margin
+171%28.52Earnings Per Share (EPS)
+172%28.24Earnings Per Share (EPS) Diluted
-27.5%$281.5MShares Outstanding
-27.9%$284.1MShares Outstanding (Diluted)
-14.7%$2.4BCash and Cash Equivalents
-14.7%$2.4BCash And Short-Term Investments
+34.1%$14.5BInventory
+100%$295.8MOther Current Assets
+26.6%$18.8BTotal Current Assets
+111%$24.6BPP&E
+16.2%$3.5BGoodwill
+16.2%$3.5BGoodwill and Intangible Assets
+59.7%$47.4BTotal Assets
+55.2%$17.3BAccounts Payables
+53.6%$1.4BOther Current Liabilities
+78.0%$23.6BTotal Current Liabilities
+102%$15.3BLong-term Debt
+116%$661.6MDeferred Tax Liabilities Non-Current
+0.71%$813.5MOther Non-Current Liabilities
+175%$23.8BTotal Non-Current Liabilities
+116%$47.4BTotal Liabilities
-27.9%$2.8MCommon Stock
-300.0%-$5.1BRetained Earnings
-99.6%-$25.2MAccumulated Other Comprehensive Income Loss
-100.4%-$27.9MTotal Shareholders Equity
+59.7%$47.4BTotal Liabilities & Stockholders Equity
+118%$16.5BTotal Debt
+200%$14.1BNet Debt
-417.6%$42.2MDeferred Income Tax
+21.5%$25.2MStock-Based Compensation (SBC)
-31.2%$1.2BChange in Working Capital
+97.4%-$151.7MAccounts Receivables
-93.5%$100.8MOther Working Capital
-1.83%$8.0MOther Non-Cash Items
+82.5%$3.6BNet Cash Provided by Operating Activities
-8.75%-$379.5MInvestments in PP&E
-192.6%-$3.9MOther Investing Activities
-8.14%-$375.0MNet Cash used for Investing Activities
-15.7%$54.2MCommon Stock Issued
+112%-$2.7BCommon Stock Repurchased
-102.8%-$1.3MOther Financing Activities
-404.9%-$2.6BNet Cash Used Provided by Financing Activities
-75.8%$581.0MNet Change in Cash
-14.7%$2.4BCash at End of Period
+300%$1.9BCash at Beginning of Period
+82.5%$3.6BOperating Cash Flow
-8.75%-$379.5MCapital Expenditure (capex)
+107%$3.2BFree Cash Flow
  • ORLY Historical Cash Flow To Revenue Table

    * A modified method (see: here) is used to calculate changes that involve negative numbers.
    Year Cash Flow To Revenue YoY % Change* Stock Price YoY % Change (Stock Price)
    4/1/2021 0.23 5.2% 477.41 14.4%
    4/1/2020 0.22 17.2% 417.24 12.4%
    4/1/2019 0.19 6.4% 371.37 37.8%
    4/1/2018 0.18 13.6% 269.41 11.3%
    4/1/2017 0.15 -5.5% 242.08 -8.5%
    4/1/2016 0.16 0.6% 264.43 20.5%
    4/1/2015 0.16 -1.3% 219.53 48.4%
    4/1/2014 0.16 14.3% 147.95 35.9%
    4/1/2013 0.14 -33.2% 108.85 13.6%
    4/1/2012 0.22 30.7% 95.79 59.4%
    4/1/2011 0.16 19.0% 60.11 17.8%
    4/1/2010 0.14 127.3% 51.02 41.5%
    4/1/2009 0.06 -41.5% 36.05 37.9%
    4/1/2008 0.1 -15.2% 26.15 -31.2%
    4/1/2007 0.12 45.2% 37.99 19.9%
    4/1/2006 0.08 -21.8% 31.69 23.5%
    4/1/2005 0.11 -28.5% 25.66 13.5%
    4/1/2004 0.15 2.3% 22.6 18.4%
    4/1/2003 0.15 41.3% 19.08 18.7%
    4/1/2002 0.1 134.9% 16.08 36.0%
    4/1/2001 0.04 1489.2% 11.82 73.6%
    4/1/2000 0.0 -93.1% 6.81 -40.4%
    4/1/1999 0.04 -256.0% 11.44 40.8%
    4/1/1998 -0.03 -143.4% 8.12 85.7%
    4/1/1997 0.06 196.6% 4.38 -10.8%
    4/1/1996 0.02 - 4.91 -

  • About
    Industry: Specialty Retail
    Sector: Consumer Cyclical
    Country: US
    IPO Date: 4/22/1993
    Stonk Exchange: NASDAQ
    • O'Reilly Automotive, Inc
    • owns and operates retail outlets in the United States.
    • The company is headquartered in Springfield, Missouri and currently employs 49,476 full-time employees.
    • The firm sells its products to both do-it-yourself (DIY) and professional service provider customers.
    • The firm's product line includes new and remanufactured automotive hard parts, such as alternators, starters, fuel pumps, water pumps, brake system components, batteries, belts, hoses, temperature control, chassis parts, driveline parts and engine parts; maintenance items, such as oil, antifreeze, fluids, filters, wiper blades, lighting, engine additives and appearance products, and accessories, such as floor mats, seat covers and truck accessories.
    • The firm's stores offer various services and programs to its customers, such as used oil, oil filter and battery recycling; battery diagnostic testing; electrical and module testing; check engine light code extraction; loaner tool program; custom hydraulic hoses, and machine shops.
  • Cash flow to revenue = (CFO)/(Net revenue)
    Operating cash generated per dollar of revenue

    For more detailed definitions, please see Investopedia.
    Year Cash Flow To Revenue YoY % Change Stock Price YoY % Change (Stock Price) operating cash flow net revenue
    4/1/2021 0.23 5.2% 477.41 14.4% 2756.29 11839.34
    4/1/2020 0.22 17.2% 417.24 12.4% 2567.93 11258.69
    4/1/2019 0.19 6.4% 371.37 37.8% 1875.21 9981.97
    4/1/2018 0.18 13.6% 269.41 11.3% 1658.29 9412.28
    4/1/2017 0.15 -5.5% 242.08 -8.5% 1373.57 8886.22
    4/1/2016 0.16 0.6% 264.43 20.5% 1386.77 8442.85
    4/1/2015 0.16 -1.3% 219.53 48.4% 1270.20 7781.80
    4/1/2014 0.16 14.3% 147.95 35.9% 1171.13 7073.14
    4/1/2013 0.14 -33.2% 108.85 13.6% 938.28 6516.39
    4/1/2012 0.22 30.7% 95.79 59.4% 1311.97 6085.11
    4/1/2011 0.16 19.0% 60.11 17.8% 951.27 5707.84
    4/1/2010 0.14 127.3% 51.02 41.5% 745.99 5260.89
    4/1/2009 0.06 -41.5% 36.05 37.9% 298.23 4788.00
    4/1/2008 0.10 -15.2% 26.15 -31.2% 306.81 3066.21
    4/1/2007 0.12 45.2% 37.99 19.9% 308.04 2476.36
    4/1/2006 0.08 -21.8% 31.69 23.5% 190.01 2239.85
    4/1/2005 0.11 -28.5% 25.66 13.5% 213.37 1957.97
    4/1/2004 0.15 2.3% 22.6 18.4% 253.62 1696.92
    4/1/2003 0.15 41.3% 19.08 18.7% 235.32 1486.58
    4/1/2002 0.10 134.9% 16.08 36.0% 140.17 1331.00
    4/1/2001 0.04 1489.2% 11.82 73.6% 50.03 1092.11
    4/1/2000 0.00 -93.1% 6.81 -40.4% -0.06 890.42
    4/1/1999 0.04 -256.0% 11.44 40.8% 29.70 754.10
    4/1/1998 -0.03 -143.4% 8.12 85.7% -19.10 616.30
    4/1/1997 0.06 196.6% 4.38 -10.8% 17.90 316.40
    4/1/1996 0.02 4.91 4.90 259.20