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KAROPENLANE, Inc.
$27.44$2.9B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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P/E HistoryRevenue HistoryEarnings HistoryDividend HistoryTotal Return
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HomeStocksKARQuarterly Cash Flow

OPENLANE, Inc. (KAR) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

OPENLANE, Inc. (KAR) quarterly cash flow statement — complete operating, investing & financing history

KAR Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21
Cash from Operations125.5M72.2M71.6M122.6M32.3M121.1M37.1M100.2M18M68.2M46.4M96.1M9.6M-125.3M-6.6M-22.6M60.6M166.8M40.1M164.5M
Operating CF Margin %25.39%14.49%14.86%26.65%6.57%27.01%8.36%23.31%4.6%16.38%11.13%22.85%2.58%-31.88%-1.72%-6.12%11.03%48.06%10.66%44.48%
Operating CF Growth %288.54%-40.38%92.99%22.36%79.44%77.57%-20.04%4.27%87.5%154.43%803.03%525.22%-84.16%-175.12%-116.46%-113.74%227.58%12.17%-87.39%434.35%
Net Income177.7M47.9M33.4M36.9M42M28.4M10.7M18.5M13.6M12.3M-193.8M12.7M254.5M217.9M-1.6M-8.4M5.1M-26.9M-9.9M50.9M
Depreciation & Amortization022.7M23M22.7M23M23.8M24.1M24.3M25.3M26.4M26.8M23M24M24.3M25.9M26M45.9M27.4M27.4M47M
Stock-Based Compensation04.1M4.1M1.7M03.8M06.6M0003.6M-6M3.3M001.7M005.4M
Deferred Taxes01.2M400K2.4M1.8M-500K1.9M-1.5M-3M2.3M-29.3M200K2M-1.6M-5.3M2.6M0200K700K5.2M
Other Non-Cash Items-52.2M13.8M17.9M11.7M-6.6M13.6M18.9M18.1M19M15.5M274.6M28.3M-247.2M-428.5M35.7M5.4M17.4M175.3M21M-22.2M
Working Capital Changes0-17.5M-7.2M47.2M-27.9M52M-18.5M34.2M-36.9M11.7M-31.9M28.3M-17.7M59.3M-61.3M-48.2M-9.5M-9.2M900K78.2M
Change in Receivables0-65.7M54.2M-109.3M0-12.4M89.9M-113.6M0-17.8M20.2M-96.4M134.5M-5M0-67.1M134.4M00-297.8M
Change in Inventory0000000000000000000-869.5M
Change in Payables0000-108.4M0-108.4M0-64.9M29.5M-49.5M0-366.1M0-109.3M45M055.9M-106.1M376M
Cash from Investing-14.7M-166.1M2.5M-31.9M-81.3M4.5M45.6M-39.7M-37.3M-1.6M-38M-6.6M164.4M109.8M65.4M-271M-803.6M-86.5M-230.3M-79.2M
Capital Expenditures-14.7M-14.6M-14.2M-11.9M-14M-13.1M-13M-12.9M-12.2M-12.9M-14.9M-12M-15.1M-14.3M-18M-13.5M-31.2M-15M-20.7M-14.5M
CapEx % of Revenue2.97%2.93%2.95%2.59%2.85%2.92%2.93%3%3.12%3.1%3.57%2.85%4.05%3.64%4.69%3.65%5.68%4.32%5.51%3.92%
Acquisitions000079.8M0300K0-103M0300K039.8M-400K00-441.9M0-78.6M900K
Investments--------------------
Other Investing0-151.1M16.8M-19.4M017.9M0-26.4M14.7M-14M05.3M41.9M125.5M11.9M-24.3M-335.8M-281.4M700K-71.4M
Cash from Financing099M-200M-18.9M90.8M-97.8M-102.6M-63.6M33.5M-194.8M4.6M-116.5M-81.9M-618.1M-1.2B276.7M273.1M50.6M-64.9M-88.7M
Debt Issued (Net)0119M-229.9M-3.3M97.2M-9.1M-71.6M-16.5M42.9M-18.4M28M-63.4M14.2M58.5M-1.12B282.1M-7.2M55.2M65.5M-17.8M
Equity Issued (Net)0-1000K-1000K-100K400K-1000K400K0600K-1000K300K0-1000K-1000K-1000K600K1000K200K-1000K-1000K
Dividends Paid0-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M-11.1M000000
Share Repurchases0-26.4M-9.3M-100K0-30M000-22.2M00-50M-50.1M-82.1M000-100.1M-80.8M
Other Financing012.6M50.3M-4.4M4.3M-47.6M-20.3M-36M1.1M-143.6M-12.6M-42M-35.1M-615.6M3.7M-6M250.3M-4.8M-31M9.6M
Net Change in Cash0-2.4M-107.7M72.8M23.1M32M-22.3M-8M6.8M-120.4M20.7M-25.9M100.1M-654.9M672M-42.9M-468.5M8.9M-136.1M-800K
Free Cash Flow110.8M57.6M57.4M110.7M18.3M108M24.1M87.3M5.8M55.3M31.5M84.1M-5.5M-139.6M-24.6M-36.1M29.4M151.8M19.4M150M
FCF Margin %22.42%11.56%11.92%24.06%3.72%24.09%5.43%20.31%1.48%13.28%7.56%20%-1.48%-35.52%-6.4%-9.77%5.35%43.73%5.16%40.56%
FCF Growth %505.46%-46.67%138.17%26.8%215.52%95.3%-23.49%3.81%205.45%139.61%228.05%332.96%-118.71%-191.96%-226.8%-124.07%139.41%25.35%-93.55%290.36%
FCF per Share1.020.530.541.030.170.990.220.800.040.500.290.77-0.04-1.22-0.21-0.300.231.270.161.16
FCF Conversion (FCF/Net Income)2.11x1.51x2.14x3.32x0.62x4.26x3.47x5.42x1.26x5.37x-0.24x7.57x0.26x21.60x-0.03x75.33x11.88x-166.80x3.49x3.23x
Interest Paid0032M26.1M031.2M036.2M00031.1M35.4M26M0041.1M0015.3M
Taxes Paid0010.7M18.1M05.3M015.6M00012M78.5M82M003.9M0011.7M