Greenlane Holdings Inc

Greenlane Holdings Inc(GNLN)股票分析

$2.800

+0.030 (+1.08%)收盤時

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High
2.920
Open
2.780
VWAP
2.80
Vol
6.01K
Mkt Cap
1.31M
Low
2.671
Amount
16.81K
EV/EBITDA, TTM
0.00

Greenlane Holdings, Inc. provides a global platform for the development and distribution of smoking accessories, vape devices, and lifestyle products to producers, processors, specialty retailers, smoke shops, convenience stores, and retail consumers. The Company operates as a family of brands, third-party brand accelerator, and an omnichannel distribution platform. The Company offers its own diverse brand portfolio and its licensed Marley Natural and K.Haring branded products. It also offers a set of third-party products through its direct sales channels and its proprietary, owned and operated e-commerce platforms. Its Greenlane Brands include Groove, its smoke shop and ancillary product brand - Higher Standards, and its child-resistant packaging brand - Pollen Gear. It merchandises vaporizers, packaging, and other ancillary products in the United States, Canada, Europe, and Latin America. Its third-party brands include Storz and Bickel, Grenco Science, PAX, and Cookies.

gnln.com

AI analysis of Greenlane Holdings Inc (GNLN)

sell

Greenlane Holdings Inc is not a good buy right now due to significant financial losses and declining revenue. The company reported a GAAP EPS of -11.42 for FY 2023 and a revenue decline of 66.9% year-over-year, indicating severe challenges in profitability and market demand. Furthermore, the forward P/E ratio stands at 192.31, suggesting that the stock is overvalued relative to its earnings potential. The main risk is its recent performance, with a YTD change of -77.85%, indicating a lack of investor confidence and potential liquidity issues.

估值指標

The current forward P/E ratio for Greenlane Holdings Inc (GNLN) is 192.31, compared to its 5-year average forward P/E of 38.65.

Forward P/E

Overvalued
5Y Average P/E
38.65
Current P/E
192.31
高估
161.18
低估
-83.89

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
2.21
Current EV/EBITDA
0.00
高估
16.58
低估
-12.16

Forward P/S

Fair
5Y Average P/S
0.11
Current P/S
0.00
高估
0.29
低估
-0.07

事件時間軸

2026-04-09 (ET)

11:41:00

Morgan Stanley's Bitcoin ETF Attracts $34M on First Day

07:40:00

Greenlane Authorizes $2M Share Repurchase Program

2026-04-02 (ET)

20:00:00

Greenlane Holdings Trading Halted, News Pending

2026-04-01 (ET)

08:20:00

Greenlane Announces 1-for-8 Reverse Stock Split

2026-03-03 (ET)

07:50:00

Company Holds Approximately 70.4M BERA Units and Deploys 50M Units

資訊

GNLN FAQ — answered by Alphio AI

Greenlane Holdings, Inc. provides a global platform for the development and distribution of smoking accessories, vape devices, and lifestyle products to producers, processors, specialty retailers, smoke shops, convenience stores, and retail consumers. The Company operates as a family of brands, third-party brand accelerator, and an omnichannel distribution platform. The Company offers its own diverse brand portfolio and its licensed Marley Natural and K.Haring branded products. It also offers a set of third-party products through its direct sales channels and its proprietary, owned and operated e-commerce platforms. Its Greenlane Brands include Groove, its smoke shop and ancillary product brand - Higher Standards, and its child-resistant packaging brand - Pollen Gear. It merchandises vaporizers, packaging, and other ancillary products in the United States, Canada, Europe, and Latin America. Its third-party brands include Storz and Bickel, Grenco Science, PAX, and Cookies. It operates in the Consumer Non-Cyclicals sector (WHOLESALE-DURABLE GOODS, NEC industry).

Greenlane Holdings Inc is not a good buy right now due to significant financial losses and declining revenue. The company reported a GAAP EPS of -11.42 for FY 2023 and a revenue decline of 66.9% year-over-year, indicating severe challenges in profitability and market demand. Furthermore, the forward P/E ratio stands at 192.31, suggesting that the stock is overvalued relative to its earnings potential. The main risk is its recent performance, with a YTD change of -77.85%, indicating a lack of investor confidence and potential liquidity issues.

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