CarMax 2001 Annual Report Download - page 60

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Circuit City Group
(Amounts in thousands)
BALANCE AT MARCH 1, 1998................................................................................................................................................................... $ 1,648,332
Net earnings..................................................................................................................................................................................... 148,381
Equity issuances, net ...................................................................................................................................................................... 42,165
Cash dividends................................................................................................................................................................................. (13,981)
Inter-Group Interest adjustment [NOTE 2] ........................................................................................................................................ 576
BALANCE AT FEBRUARY 28, 1999............................................................................................................................................................. 1,825,473
Net earnings..................................................................................................................................................................................... 197,334
Equity issuances, net ...................................................................................................................................................................... 50,205
Cash dividends................................................................................................................................................................................. (14,207)
Inter-Group Interest adjustment [NOTE 2] ........................................................................................................................................ (4,085)
BALANCE AT FEBRUARY 29, 2000............................................................................................................................................................. 2,054,720
Net earnings..................................................................................................................................................................................... 149,247
Equity issuances, net ...................................................................................................................................................................... 66,903
Cash dividends................................................................................................................................................................................. (14,346)
Inter-Group Interest adjustment [NOTE 2] ........................................................................................................................................ 635
BALANCE AT FEBRUARY 28, 2001............................................................................................................................................................. $2,257,159
See accompanying notes to Group financial statements.
57
CIRCUIT CITY STORES, INC. 2001 ANNUAL REPORT
Circuit City Group Statements of Group Equity