OPENLANE, Inc.

OPENLANE, Inc.

KARยทNYSE

$27.44

+0.40%
Consumer CyclicalAuto - Dealerships

OPENLANE, Inc., together with its subsidiaries, operates as a digital marketplace for used vehicles, which connects sellers and buyers in the United States, Canada, Continental Europe and the United Kingdom. The company operates through two segments, Marketplace and Finance. The Marketplace segment offers digital marketplace services for buying and selling used vehicles; and value-added ancillary services, including inbound and outbound transportation logistics, reconditioning, vehicle inspection and certification, titling, administrative, and collateral recovery services. Its digital marketplaces include OPENLANE platform, a mobile app enabled solutions that allows dealers to sell and source inventory. This segment sells its products and services through commercial fleet operators, financial institutions, rental car companies, new and used vehicle dealers, and vehicle manufacturers. The Finance segment offers floorplan financing, a short-term inventory-secured financing to independent vehicle dealers. It serves commercial customers, and franchise and independent dealer customers. The company was formerly known as KAR Auction Services, Inc. and changed its name to OPENLANE, Inc. in May 2023. OPENLANE, Inc. was incorporated in 2006 and is headquartered in Carmel, Indiana.

At a Glance

Live Snapshot
Market Cap$2.92B
EPS-0.9600
P/E Ratio-28.58
Earnings Date05/05/2026
3Y-38.0%
5Y-30.0%
10Y-20.0%
3Y-45.0%
5Y-33.0%
10Y-26.0%
3Y-11.0%
5Y-19.0%
10Y-3.0%
kar

OPENLANE, Inc. Funding & Solvency Profile

KAR ยท NYSE
Cash & Cash Equivalents143.00M
Net Receivables2.57B
Inventory0.00
Other Current Assets137.60M
Total Current Assets3 B
Property, Plant & Equipment216.40M
Goodwill & Intangible Assets1.50B
Long-Term Investments0.00
Other Non-Current Assets53.00M
Total Non-Current Assets269 M
Total Assets
4.62B

Financial Health Analysis

Current Ratio

1.11x

Acceptable liquidity, but monitor closely. Current assets just barely cover current liabilities.

Debt-to-Equity Ratio

2.44x

High financial leverage. Heavy reliance on debt may indicate increased financial risk and potential solvency concerns.

Working Capital

286 M

Positive working capital, but relatively tight. The company should monitor cash flow carefully.

Asset Composition

62% Current

Asset-light business model with high liquidity. Majority of assets are easily convertible to cash.

OPENLANE, Inc. Balance Sheet

KAR โ€ข NYSE

OPENLANE, Inc. Balance SheetDec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016Dec 2015Dec 2014Dec 2013Dec 2012Dec 2011Dec 2010Dec 2009Dec 2008Dec 2007
ASSETS
CURRENT ASSETS
143M
93.5M
225.7M
177.6M
752.1M
507.6M
337.1M
317.2M
201.8M
155M
152.9M
191.6M
108.7M
97.4M
119.1M
363.9M
158.4M
204.1M
143M
93.5M
225.7M
177.6M
752.1M
507.6M
337.1M
317.2M
201.8M
155M
152.9M
191.6M
108.7M
97.4M
119.1M
363.9M
158.4M
204.1M
2.6B
2.6B
2.7B
2.9B
2.3B
2.6B
2.5B
2.6B
2.5B
2.1B
1.8B
1.5B
1.3B
1.2B
1B
400.7M
488M
596.7M
248.2M
291.8M
270.7M
381.3M
367.2M
457.5M
454.6M
725.5M
682.9M
511.9M
401.2M
354.3M
342.4M
297.4M
271.9M
250.4M
285.7M
278.3M
2.3B
2.3B
2.4B
2.5B
1.9B
2.1B
2B
1.9B
1.8B
1.6B
1.4B
1.1B
996.2M
874.2M
761.9M
240.1M
202.3M
318.4M
0.0
0.0
0.0
0.0
0.0
0.0
27.6M
19.4M
17.9M
16.2M
17M
18.8M
11.9M
45.7M
49.4M
9.3M
18.5B
46.2M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
80.5M
0.0
0.0
137.6M
174.6M
130.9M
326.9M
166.9M
179.2M
581.7M
195.1M
176.3M
147.2M
157.7M
146M
134.1M
96M
93.2M
78.2M
90.4M
84.1M
2.9B
2.8B
3B
3.4B
3.2B
3.2B
3.3B
3.1B
2.8B
2.4B
2.1B
1.8B
1.6B
1.4B
1.3B
941.9M
752.7M
901.8M
NON-CURRENT ASSETS
216.4M
245.7M
208.4M
238.2M
940.5M
973.1M
976.2M
908.2M
842.5M
766.9M
727.9M
703.8M
700.7M
686.7M
680.5M
683.2M
721.7M
773.2M
1.2B
1.3B
1.5B
1.6B
2.1B
1.8B
2.2B
2.2B
2.1B
1.8B
1.7B
1.7B
1.7B
1.7B
1.6B
1.5B
1.5B
1.6B
278.5M
317.6M
367.2M
402.4M
501.5M
506.4M
702.1M
747M
816.9M
782.9M
843.5M
926.8M
960.6M
999.9M
982.4M
344.8M
264.7M
251.4M
1.5B
1.6B
1.8B
2B
2.6B
2.3B
2.9B
2.9B
2.9B
2.6B
2.5B
2.6B
2.6B
2.7B
2.5B
1.9B
1.8B
1.9B
0.0
0.0
0.0
0.0
0.0
0.0
-229.7M
-213.5M
-327.5M
-334.9M
-369.6M
-366.7M
-330.2M
-295.3M
-326.3M
-328.2M
-10.1B
0.0
0.0
0.0
0.0
0.0
0.0
0.0
188.4M
192.7M
291.7M
300.8M
333.4M
354.8M
318.6M
323.9M
326.3M
328.2M
10.1B
0.0
53M
49.9M
57.3M
1.8B
40.8M
35.5M
41.3M
20.8M
35.8M
34.1M
36.2M
11.9M
11.6M
11.2M
53.3M
753.3M
893.8M
986.8M
1.8B
1.9B
2.1B
4.1B
3.6B
3.3B
3.9B
3.8B
3.7B
3.3B
3.3B
3.3B
3.3B
3.4B
3.3B
3.3B
3.4B
3.6B
4.6B
4.7B
5.1B
7.5B
6.8B
6.6B
7.2B
7B
6.6B
5.8B
5.4B
5.1B
4.9B
4.8B
4.5B
4.3B
4.2B
4.5B
LIABILITIES
CURRENT LIABILITIES
558.2M
566.4M
558.1M
793.2M
692.1M
730.2M
738.5M
735.5M
697.2M
650.9M
515.4M
472.5M
389M
368.3M
290.6M
265.4M
283.4M
292.8M
547.6M
556.6M
551.2M
785.3M
688.9M
704.6M
691.3M
682.7M
648.5M
608.4M
471.7M
435.5M
388.4M
367.8M
287.7M
262.7M
283.4M
292.8M
10.6M
9.8M
6.9M
7.9M
3.2M
25.6M
47.2M
52.8M
48.7M
42.5M
43.7M
37M
600K
500K
2.9M
2.7M
0.0
0.0
88M
85.4M
86.9M
113.5M
191.7M
224.8M
140.7M
178.8M
151.6M
129.2M
114.7M
93.3M
77.4M
74M
156.1M
151.4M
160.5M
151.3M
222.5M
154.6M
288.7M
16.3M
24.3M
28.8M
13.1M
12.4M
105.2M
153.9M
17.7M
32.5M
43.7M
85.9M
0.0
225.6M
4.5M
15.6M
10.6M
9.8M
6.9M
7.9M
3.2M
1.1M
2.9M
5.8M
5M
5.3M
5.5M
2.3M
600K
500K
2.9M
2.7M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
2.9M
-682.7M
-648.5M
-608.4M
-471.7M
-435.5M
-388.4M
132.2M
0.0
-414.1M
0.0
0.0
1.7B
1.7B
1.7B
2.1B
1.3B
1.5B
1.7B
1.5B
1.4B
1.3B
942.8M
836.3M
776.8M
668M
520.1M
0.0
0.0
0.0
2.6B
2.5B
2.6B
3B
2.3B
2.5B
2.6B
2.4B
2.3B
2.2B
1.6B
1.4B
1.3B
1.2B
966.8M
642.4M
448.4M
459.7M
NON-CURRENT LIABILITIES
0.0
202.4M
205.3M
1.8B
1.9B
1.9B
2.7B
2.7B
2.4B
1.7B
1.7B
1.7B
1.8B
1.8B
1.9B
2B
2.5B
2.6B
0.0
0.0
0.0
0.0
0.0
0.0
-188.4M
-192.7M
-291.7M
-300.8M
-333.4M
-354.8M
-318.6M
0.0
0.0
-328.2M
0.0
0.0
24.4M
20.9M
54M
138.4M
128.6M
134.5M
188.4M
192.7M
291.7M
300.8M
333.4M
354.8M
318.6M
323.9M
326.3M
328.2M
335.8M
378.1M
629.3M
626.8M
619.3M
852.2M
605.2M
59.2M
462.9M
442.5M
168.5M
159.5M
143.8M
121.3M
68.4M
71.6M
111.6M
80.9M
99.8M
78.3M
714.1M
920.5M
958.3M
2.9B
2.9B
2.4B
3.1B
3.1B
2.8B
2.2B
2.2B
2.2B
2.2B
2.2B
2.3B
2.5B
3B
3.1B
60.4M
70.4M
79.7M
88.1M
344.2M
358.3M
0.0
27M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
3.3B
3.4B
3.6B
5.9B
5.2B
4.9B
5.7B
5.5B
5.2B
4.4B
3.8B
3.6B
3.5B
3.4B
3.3B
3.1B
3.4B
3.5B
SHAREHOLDERS' EQUITY
0.0
0.0
0.0
0.0
0.0
0.0
61.2M
25.2M
49.3M
40.2M
1.6M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
1.1M
1.1M
1.1M
1.2M
1.3M
1.3M
1.3M
1.3M
1.4M
1.4M
1.4M
1.4M
1.4M
1.4M
1.4M
1.4M
1.1M
1.1M
720.9M
738.2M
743.8M
910.8M
1B
1B
1.1B
1.3B
1.4B
1.4B
1.6B
1.5B
1.4B
1.4B
1.4B
1.4B
1B
1B
689.8M
624.4M
822.9M
625.7M
600.7M
651M
392.3M
257M
74.1M
17.3M
-46.4M
-72.3M
-26.7M
-92.7M
-164.9M
-234.5M
-257.7M
-41.5M
-69.1M
-36.7M
-49.5M
-24.7M
-32.7M
-31M
-61.2M
-25.2M
-49.3M
-40.2M
-1.6M
18.7M
35.1M
28.1M
26.5M
19.4M
-21.5M
27.1M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
-1M
-1M
1.3B
1.3B
1.5B
1.5B
1.6B
1.7B
1.5B
1.5B
1.4B
1.4B
1.5B
1.5B
1.4B
1.3B
1.2B
1.1B
750.7M
1B
1.3B
1.3B
1.5B
1.5B
1.6B
1.7B
1.5B
1.5B
1.4B
1.4B
1.5B
1.5B
1.4B
1.3B
1.2B
1.1B
750.7M
1B
SUMMARY
4.6B
4.7B
5.1B
7.5B
6.8B
6.6B
7.2B
7B
6.6B
5.8B
5.4B
5.1B
4.9B
4.8B
4.5B
4.3B
4.2B
4.5B
0.0
0.0
0.0
0.0
0.0
0.0
-229.7M
-213.5M
-327.5M
-334.9M
-369.6M
-366.7M
-330.2M
-295.3M
-326.3M
-328.2M
-10.1B
0.0
282.9M
427.4M
573.7M
2B
2.2B
2.2B
2.7B
2.7B
2.5B
1.9B
1.8B
1.8B
1.8B
1.9B
1.9B
2.7B
2.5B
2.6B
139.9M
333.9M
348M
1.8B
1.5B
1.7B
2.3B
2.4B
2.3B
1.7B
1.6B
1.6B
1.7B
1.8B
1.8B
2.3B
2.4B
2.4B
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187
106,263,187

SEC Filings

KAR - Filing history and reports

Filing TypeFiling DatePeriod EndingFiscal YearActions
8-K

8-K 2026

N/A

March 03, 2026
March 03, 2026
2026
8-K

8-K 2026

N/A

February 18, 2026
February 18, 2026
2026
10-K

10-K 2025 FY

FY

February 18, 2026
December 31, 2025
2025
8-K

8-K 2026

N/A

January 30, 2026
January 29, 2026
2026
8-K

8-K 2025

N/A

November 18, 2025
November 18, 2025
2025
8-K

8-K 2025

N/A

November 05, 2025
November 05, 2025
2025
10-Q

10-Q 2025 Q3

Q3

November 05, 2025
September 30, 2025
2025
8-K

8-K 2025

N/A

October 08, 2025
October 08, 2025
2025
8-K

8-K 2025

N/A

September 09, 2025
September 09, 2025
2025
8-K

8-K 2025

N/A

August 06, 2025
August 06, 2025
2025
Showing 1 to 10 of 328 filings