OPENLANE Financial Ratios for Analysis 2009-2024 | KAR

Fifteen years of historical annual and quarterly financial ratios and margins for OPENLANE (KAR).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.151.141.131.411.291.261.311.221.101.301.251.231.151.301.47
0.130.120.550.530.530.640.640.630.550.530.540.550.580.600.64
0.270.331.231.161.151.821.801.771.351.131.191.261.421.511.99
47.2645.0945.3743.9141.8745.9045.9941.9942.4543.2643.3044.6345.1244.7342.35
-0.3211.438.795.2211.2913.9214.5815.8415.8815.6311.8113.6014.9414.7511.25
-0.3211.438.795.2211.2913.9214.5815.8415.8815.6311.8113.6014.9414.7511.25
6.3818.7317.2014.3218.5121.4122.7123.7624.0624.0721.2723.6525.0124.9021.96
-8.912.540.99-4.884.686.227.0811.2812.6610.966.877.724.775.311.98
-9.3715.874.580.046.7813.4316.177.067.987.003.124.693.833.821.34
0.350.300.190.200.420.340.320.480.470.450.420.400.390.400.41
---------------
5.645.613.803.616.085.373.094.615.266.026.135.736.346.705.10
64.7465.0395.9410160.0367.9311879.1369.4460.5959.5063.6557.5554.4571.55
-11.671.88-0.05-3.325.608.0311.7215.9215.4810.944.576.375.385.592.03
59.13-9.130.165.22-13.63-16.51-12.14-15.44-18.85-17.85-6.15-7.93-5.40-5.39-1.65
-3.280.56-0.01-0.791.401.632.493.393.723.161.321.871.511.540.55
-10.121.66-0.02-1.542.632.864.195.916.935.162.102.862.282.230.73
12.2813.9412.4912.4612.8111.0211.0610.2310.0610.9510.6610.569.869.198.49
2.16-3.913.362.974.085.334.332.723.393.043.082.092.223.442.32
1.68-4.092.842.492.864.363.621.602.442.342.401.401.602.871.79

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.081.081.151.151.171.171.151.141.141.131.231.131.281.271.331.411.561.621.341.291.291.141.171.261.321.311.301.311.351.391.241.221.281.281.431.101.111.211.291.301.281.291.261.251.261.211.201.231.251.221.191.151.311.251.311.301.431.381.311.471.791.791.66
--0.130.130.130.130.120.120.110.100.380.550.560.550.540.530.540.540.540.530.530.440.640.640.630.640.640.640.660.650.620.630.620.620.630.550.560.520.530.530.530.530.540.540.540.550.550.550.560.560.570.580.580.580.590.600.620.630.640.640.760.770.77
0.200.200.240.270.190.290.280.330.310.581.301.231.261.251.191.161.171.211.201.151.160.851.851.821.711.771.761.801.921.841.681.771.621.651.691.351.361.111.121.131.141.161.191.191.191.211.361.261.261.301.321.421.401.401.441.511.661.721.741.993.153.293.44
43.8043.0548.6247.6648.1146.6146.7045.8246.6744.8542.9345.7146.5044.4744.8935.0544.4643.8938.8741.1741.4641.9642.8851.0346.0047.0343.7123.0543.1643.8642.1639.9941.8143.2343.0338.3843.2944.3344.3239.7644.3245.0044.4243.4544.5044.7940.5741.1844.3946.0546.8543.9444.9346.1845.4342.5345.7446.4544.1542.1044.2943.8439.23
16.3212.9216.6714.6715.97-46.6515.5523.5212.725.803.719.258.418.888.6016.0914.56-1.126.329.1812.2112.6011.05-1.7513.9816.2316.6035.3116.8318.3216.5613.7515.6217.1216.9913.2215.9017.7017.0614.6816.2517.2314.465.4912.6715.0214.0111.6112.9915.0014.7611.5917.2815.9315.1410.6715.9718.2313.9810.1211.0414.379.45
16.3212.9216.6714.6715.97-46.6515.5523.5212.725.803.719.258.418.888.6016.0914.56-1.126.329.1812.2112.6011.05-1.7513.9816.2316.6035.3116.8318.3216.5613.7515.6217.1216.9913.2215.9017.7017.0614.6816.2517.2314.465.4912.6715.0214.0111.6112.9915.0014.7611.5917.2815.9315.1410.6715.9718.2313.9810.1211.0414.379.45
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9.264.217.015.426.10-51.124.7616.041.83-3.98-3.55-1.93-4.78-3.4313.7127.399.77-8.810.743.666.785.023.16-22.386.478.5512.2541.5111.9210.6211.928.8710.9212.6212.8410.2612.2814.3214.0911.8012.8813.815.220.817.9410.408.276.106.959.048.764.9010.44-4.488.421.078.2410.321.481.273.025.10-1.47
2.90-0.094.449.430.29-49.153.029.95-1.4854.71-0.081.43-0.293.0613.76-0.635.05-8.210.432.955.037.7311.2826.2412.6614.959.47-52.557.456.677.995.596.897.848.006.597.849.048.627.648.068.673.55-3.264.276.175.224.644.044.905.133.027.17-3.038.211.635.756.091.771.252.002.92-0.79
0.100.090.090.080.090.090.080.070.070.060.050.050.050.050.05-0.050.090.060.110.100.110.110.080.040.080.090.13-0.050.120.130.130.120.120.120.120.130.120.110.120.120.110.110.110.110.100.110.110.100.100.100.100.100.100.100.100.100.090.100.100.100.100.100.11
---------------------------------------------------------------
1.491.481.061.341.221.321.241.380.940.900.850.940.610.680.56-0.901.200.722.641.471.381.210.720.560.720.740.99-0.451.111.211.121.191.161.091.141.431.191.231.201.641.311.451.281.531.381.371.191.441.231.361.301.611.411.391.201.651.251.361.201.251.091.151.06
60.2160.8884.5367.1173.5067.9472.8265.3596.1699.7210695.94147131160-99.7874.9112534.0361.3465.4274.1912616012512191.24-198.5981.3474.5880.2875.5377.7182.3478.6862.8475.8772.9074.7654.8368.8361.8870.5158.9864.9965.9075.5462.4273.0266.1169.4655.7963.7364.6075.2054.5171.9566.2775.0472.2582.9378.2685.26
2.140.811.391.020.97-14.520.832.760.03-0.33-0.551.00-1.81-1.021.65-4.412.93-2.080.180.932.101.561.02-2.781.982.475.92-1.024.483.914.843.263.684.234.263.483.803.793.523.253.093.341.40-1.191.542.292.011.591.331.701.881.082.45-1.093.050.592.102.430.700.461.071.67-0.48
-12.22-4.57-7.60-5.19-5.2483.64-4.24-13.37-0.172.441.79-3.122.261.28-2.546.94-7.314.57-0.38-2.26-5.00-4.69-0.995.71-2.35-2.72-6.481.06-4.44-4.16-5.00-3.16-4.15-4.56-5.61-4.24-4.50-6.00-5.86-5.30-4.83-4.98-1.931.60-2.06-2.91-2.56-1.97-1.64-1.95-2.04-1.09-2.751.20-3.25-0.57-2.01-2.15-0.59-0.38-0.49-0.710.19
0.610.230.380.290.27-3.960.250.820.01-0.09-0.110.20-0.38-0.210.37-1.050.68-0.500.050.230.520.430.18-0.560.420.521.24-0.220.910.831.050.690.830.940.940.840.911.031.000.940.880.960.40-0.340.450.650.560.470.390.490.540.300.70-0.310.840.160.540.610.180.120.200.30-0.08
2.140.811.210.890.84-12.620.732.430.03-0.30-0.340.45-0.81-0.460.76-2.051.36-0.950.080.440.980.870.37-0.990.730.902.15-0.371.541.381.831.211.411.611.591.561.691.801.661.531.451.550.64-0.550.701.030.900.710.590.740.810.461.03-0.461.250.230.790.900.250.170.260.39-0.11
12.4212.2312.2812.2812.0912.1913.9813.9413.6014.0312.4712.4912.4412.6012.7212.4612.4312.0312.1712.8112.7013.1311.2711.0211.6011.2711.2611.0610.3710.6510.4310.2310.7010.5810.3710.0610.0211.0810.9310.9510.9010.8410.6210.6610.7010.5910.5410.5610.5810.3210.159.869.639.669.609.199.018.738.628.4974.9671.7368.59
2.371.270.922.161.971.300.87-3.91-4.05-2.84-0.513.362.962.411.272.973.322.08-0.384.083.382.370.655.334.172.751.124.333.542.701.032.722.081.180.503.392.221.390.603.042.301.630.663.082.251.590.652.091.711.230.542.221.491.160.593.443.072.411.712.322.241.330.42
2.021.030.801.681.611.060.77-4.09-4.45-3.10-0.622.842.562.141.182.492.761.72-0.612.862.421.780.414.363.562.370.843.622.752.160.761.601.230.640.252.441.570.950.422.341.811.300.502.401.721.210.491.401.310.960.441.601.020.870.482.872.782.261.661.791.861.070.31