KAR Auction Services, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €1.85B +11.0% N/A N/A N/A N/A
    (estimated) €1.67B +4.9% N/A N/A €283.18M +3.0% 17.0% -0.0032 pp
    (estimated) €1.59B +4.3% N/A N/A €274.91M -6.8% 17.3% -0.020 pp
    €1.53B +8.7% €93.74M -171.3% 6.1% +0.16 pp €294.95M +20.3% 19.3% +0.019 pp
    €1.40B +8.3% -€131.44M -638.8% -9.4% -0.11 pp €245.14M -181.7% 17.5% +0.41 pp
    €1.30B -32.5% €24.39M -57.0% 1.9% -0.011 pp -€299.90M -167.4% -23.1% -0.46 pp
    €1.92B +2.9% €56.72M +13,200.0% 3.0% +0.029 pp €444.98M +7.4% 23.2% +0.0096 pp
    €1.87B -21.4% €426.48K -99.5% 0.0% -0.033 pp €414.36M -31.0% 22.2% -0.031 pp
    €2.37B -26.2% €78.81M -71.8% 3.3% -0.054 pp €600.14M -25.8% 25.3% +0.0015 pp
    €3.22B +9.0% €279.77M -9.4% 8.7% -0.018 pp €808.43M +27.9% 25.1% +0.037 pp
    €2.95B +9.8% €308.77M +62.8% 10.5% +0.034 pp €632.04M +43.6% 21.4% +0.051 pp
    €2.69B +19.3% €189.70M +3.6% 7.1% -0.011 pp €440.04M -15.4% 16.4% -0.067 pp
    €2.25B +11.6% €183.04M +26.8% 8.1% +0.0097 pp €520.04M +14.5% 23.1% +0.0059 pp
    €2.02B +8.8% €144.40M +150.1% 7.2% +0.040 pp €454.03M +0.3% 22.5% -0.019 pp
    €1.85B +10.7% €57.74M -26.4% 3.1% -0.016 pp €452.58M +35.3% 24.4% +0.044 pp
    €1.67B +4.1% €78.47M +27.4% 4.7% +0.0086 pp €334.53M +0.2% 20.0% -0.0078 pp
    €1.61B +3.9% €61.58M +3.7% 3.8% -0.000071 pp €334.02M -28.3% 20.8% -0.093 pp
    €1.55B +4.9% €59.37M +200.0% 3.8% +0.025 pp €466.14M +72.7% 30.1% +0.12 pp
    €1.48B -2.4% €19.79M -110.7% 1.3% +0.14 pp €269.87M -10.7% 18.3% -0.017 pp
    €1.51B +60.6% -€184.41M +464.5% -12.2% -0.087 pp €302.37M +122.1% 20.0% +0.055 pp
    €940.63M -€32.67M -3.5% €136.13M 14.5%

    Notifications