Avis Budget Group Inc (CAR)

Industry Rental & Leasing Services

This stock can be held in an Investment ISA and an Investment Account
Sell

$96.00

Buy

$96.50

arrow-up$3.20 (+3.44%)

Avis Budget Group Inc provides automotive vehicle rental and car sharing services. It offers various rental services under the Avis, Budget, and Zipcar brands. The firm has its own network of rental locations and licenses its brands to franchisees.
Prices updated at 03 May 2025, 00:56 EDT
| Prices minimum 15 mins delay
|
Prices in USD

Income statement

20172018201920202021202220232024
8,796m9,172m9,254m5,559m9,674m13,013m12,664m11,622m
6,341m6,631m6,765m3,716m7,803m10,764m9,533m7,872m
476m516m567m-595m2,131m3,906m2,234m269m
5.415.636.13-10.7022.0330.0217.642.31
361m165m302m-684m1,285m2,764m1,632m-1,821m
2,605m2,685m3,607m1,836m4,406m6,697m5,660m1,740m
Sales, General and administrative1,120m1,220m1,237m703m1,145m1,348m1,408m1,352m
Interest expenses188m188m178m231m218m250m296m358m
Provision for income taxes-150m102m-15m-272m425m880m279m-810m
Operating expenses5,865m6,115m6,198m4,311m5,672m6,858m7,299m7,603m
Income before taxes211m267m287m-956m1,708m3,636m1,914m-2,627m
Net income available to common shareholders361m165m302m-684m1,285m2,764m1,632m-1,821m
4.322.084.01-9.7119.7958.4142.57-51.23
Net interest income-188m-188m-178m-231m-218m-250m-296m-358m
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)4.252.063.98-9.7119.4457.1642.08-51.23
Free cash flow per share-111.5088-116.1683-142.9804-81.9958-89.4989-101.2357-288.9582-205.9126
Book value/share4.95066.85536.6892-1.0857-3.7679-13.0513-0.9429-6.8
Debt equity ratio22.32809833.23671525.341463-----

Balance sheet

20172018201920202021202220232024
Current assets2,066m2,174m2,145m1,795m1,847m1,886m2,139m2,034m
Current liabilities1,645m1,716m2,225m2,053m2,408m2,574m2,659m2,720m
Total capital13,367m14,174m15,140m10,893m15,160m17,750m23,379m20,582m
Total debt12,820m13,783m17,122m13,659m17,805m20,919m26,453m26,041m
Total equity573m414m656m-155m-220m-703m-349m-2,327m
Total non current liabilities--------
Loans12,794m13,760m14,484m11,048m15,380m18,453m23,728m22,909m
Total assets17,699m19,149m23,126m17,538m22,600m25,927m32,569m29,041m
Total liabilities--------
Cash and cash equivalents611m615m686m692m534m570m555m534m
Common stock81m76m74m70m56m39m35m35m

Cash flow

20172018201920202021202220232024
Cash at beginning of period720m901m735m900m765m626m642m644m
Cash dividends paid-------355m-
-9,087m-10,211m-10,551m-4,804m-6,671m-6,030m-11,630m-6,544m
Investments (gains) losses-2,204m-3,426m-2,752m3,177m-6,306m-4,299m-7,346m-2,753m
901m735m900m765m626m642m644m597m
Net income--------
2,648m2,609m2,586m691m3,491m4,707m3,828m3,518m
-11,735m-12,820m-13,137m-5,495m-10,162m-10,737m-15,458m-10,062m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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