OPENLANE, Inc.KAR

時価総額
$31.6億
PER
中古車リマーケティングの大手。デジタル卸売マーケットプレイスや輸送・検査・リコンディショニングサービスを展開。2022年にADESA米国物理オークション事業を22億ドルで売却。北米・欧州・カナダ中心に展開。
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents9710919215315520231733750875219022694143
Restricted cash812191716181928536026526541
Trade receivables, net of allowances of $6.7 and $9.9297342354401512683726766458367527271292248
Finance receivables, net of allowances of $19.8 and $23.01339961,1001,3631,6321,7801,9002,0012,1001,8892,5062,3952,2822,323
Other current assets5987911001311581761831261071107910997
Total current assets1,3731,5811,7922,0752,4462,8413,1373,3143,2453,1753,3583,0222,8422,852
Goodwill1,6801,6801,7051,7051,7962,0572,1922,2141,8222,1402,5781,4651,2711,223
Finite-Lived Intangible Assets, Net694619570484418461376302208211243136136118
Other Intangible Assets, Net306305307306311320351359299290276231182161
Operating lease right-of-use assets--------364351326857667
Property, Plant and Equipment, Net687701704728767843908976609590579124170149
Other assets1112123634362141364156575053
Total other assets2,7192,6402,6322,5492,5792,8742,9392,9162,7283,6234,0592,0971,8841,771
Total assets4,7794,9225,1275,3525,7926,5586,9847,2066,5816,7987,4175,1204,7264,622
Accounts payable3683884364726086496838207056891,024551557548
Employee-related Liabilities, Current5864647891101104103738160324137
Accrued interest220012788768107
Other accrued expenses727693114128149172186217185170797581
Income taxes payable1126556313871011
Obligations collateralized by finance receivables6107137728651,2011,2801,3581,4451,4611,2611,6921,6781,6321,660
Long-Term Debt, Current Maturities864433181541051213292416289155223
Total current liabilities1,1961,2871,4351,5912,2262,3352,3892,6252,5182,2512,9762,6432,4792,566
Long-term debt1,8171,7751,7351,7371,7192,3652,6682,6541,8611,8541,850205202-
Deferred income tax liabilities---------129138542124
Operating lease liabilities--------358344317807060
Other liabilities999912114416016925027559553271417
Total non-current liabilities2,2402,1922,2112,2142,1802,8253,1103,1172,4132,3822,338346308102
Series A convertible preferred stock (Note 15)---------550591613613613
Common Stock, Value, Issued11111111111111
Additional paid-in capital1,4061,4341,5341,5941,4081,3711,2521,1321,0291,047911744738721
Retained earnings-93-27-72-461774257392651601626823624690
Accumulated other comprehensive loss283519-2-40-49-25-61-31-33-25-49-37-69
Total stockholders' equity1,3431,4441,4821,5471,3861,3971,4851,4641,6501,6161,5131,5181,3271,343
Total liabilities, temporary equity and stockholders' equity4,7794,9225,1275,3525,7926,5586,9847,2066,5816,7987,4175,1204,7264,622