OPENLANE, Inc.KAR

Market cap
$3.1B
P/E ratio
2011/122012/122013/122014/122015/122016/122017/122018/122019/122020/122021/122022/122023/122024/12
Depreciation & amortization18019019419721324126527018919118310010295
Stock-based compensation1723672812182423201416171715
Cash from operations 3062904344314753615897503813844134237293
Capital expenditures-86-102-97-101-135-155-152-198-162-101-108-61-52-53
Cash from investing -420-228-268-413-548-765-380-381-415-327-1,21970-90-71
Repurchases of common stock----22880150150120101811822230
Proceeds from issuance of term debt, net1,692-1881,767-1,3372,717-948-----
Repayments of term debt1,15317531,785226632,437171,7491010929--
Cash from financing 93-53-77-4895453-108-320-1,164195210-1,622-280-174
Free cash flow
FCF margin (%)