Openlane Inc

Openlane Inc (OPLN) Stock Analysis

$35.600

+0.516 (+1.45%)At close

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High
35.660
Open
35.100
VWAP
35.39
Vol
1.37M
Mkt Cap
Low
34.900
Amount
48.34M
EV/EBITDA, TTM
9.58

OPENLANE, Inc. provides sellers and buyers across the global wholesale used vehicle industry with technology-driven remarketing solutions. The Company offers a digital marketplace for used vehicles, connecting sellers and buyers across North America and Europe. Its end-to-end platform supports the whole car, financing, logistics and other ancillary and related services. Its segments include Marketplace and Finance. Marketplace segment serves its customer base through digital marketplaces in the United States, Canada and Europe and vehicle logistics center locations across Canada. This segment includes private label remarketing solutions, which are offered to automobile manufacturers, captive finance companies and other commercial customers to offer vehicles digitally. Through Automotive Finance Corporation, the Finance segment provides short-term, inventory-secured financing, known as floorplan financing, primarily to independent vehicle dealers throughout the United States and Canada.

AI analysis of Openlane Inc (OPLN)

buy

Openlane Inc (OPLN) is a good buy right now, with a current price of $35.09 and a strong analyst price target range between $45 and $50. The stock has shown a 5.06% increase over the last five days, indicating positive momentum. Additionally, the recent insider buying by CEO Peter J. Kelly, who purchased shares at $33.72, signals confidence in the company's future. However, the main risk is the recent volatility, as the stock experienced a 20.13% year-to-date increase and a 11.75% decline over the last 20 days, which suggests potential fluctuations ahead.

Valuation Metrics

The current forward P/E ratio for Openlane Inc (OPLN) is 25.58, compared to its 5-year average forward P/E of 23.94.

Forward P/E

Fair
5Y Average P/E
23.94
Current P/E
25.58
Overvalued
27.63
Undervalued
20.25

Forward EV/EBITDA

Undervalued
5Y Average EV/EBITDA
12.45
Current EV/EBITDA
9.58
Overvalued
14.25
Undervalued
10.64

Forward P/S

Overvalued
5Y Average P/S
1.59
Current P/S
1.81
Overvalued
1.80
Undervalued
1.38

Whales holding OPLN

B

Burgundy Asset Management Ltd.

+ HoldingOPLN

+11.83%

3M Return

P

Paradice Investment Management Pty Ltd.

+ HoldingOPLN

+2.40%

3M Return

Events Timeline

2026-08-12 (ET)

06:30:00

BofA Solely Manages Offering Priced Between $34.70 and $35.00

2026-08-11 (ET)

18:30:00

BofA Acts as Sole Book Running Manager for the Offering

17:00:00

Openlane Launches Underwritten Secondary Offering of 8M Shares

2026-08-04 (ET)

07:30:00

OPENLANE Reports Q2 Revenue of $555M, Exceeding Expectations

07:30:00

FY26 Adjusted EBITDA Outlook Raised to $385M-$400M

News

OPLN FAQ — answered by Alphio AI

OPENLANE, Inc. provides sellers and buyers across the global wholesale used vehicle industry with technology-driven remarketing solutions. The Company offers a digital marketplace for used vehicles, connecting sellers and buyers across North America and Europe. Its end-to-end platform supports the whole car, financing, logistics and other ancillary and related services. Its segments include Marketplace and Finance. Marketplace segment serves its customer base through digital marketplaces in the United States, Canada and Europe and vehicle logistics center locations across Canada. This segment includes private label remarketing solutions, which are offered to automobile manufacturers, captive finance companies and other commercial customers to offer vehicles digitally. Through Automotive Finance Corporation, the Finance segment provides short-term, inventory-secured financing, known as floorplan financing, primarily to independent vehicle dealers throughout the United States and Canada. It operates in the Consumer Cyclicals sector.

Openlane Inc (OPLN) is a good buy right now, with a current price of $35.09 and a strong analyst price target range between $45 and $50. The stock has shown a 5.06% increase over the last five days, indicating positive momentum. Additionally, the recent insider buying by CEO Peter J. Kelly, who purchased shares at $33.72, signals confidence in the company's future. However, the main risk is the recent volatility, as the stock experienced a 20.13% year-to-date increase and a 11.75% decline over the last 20 days, which suggests potential fluctuations ahead.

This page is for research only and is not investment advice. Models can be wrong. Past performance does not guarantee future results.

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