Symbols / PRTS Stock $0.96 -0.35% CarParts.com, Inc.

Consumer Cyclical • Auto Parts • United States • NCM
PRTS (Stock) Chart
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About

CarParts.com, Inc., together with its subsidiaries, operates as an online retailer of aftermarket auto parts and accessories in the United States and the Philippines. The company offers replacement parts, such as body panels, lighting components, cooling parts, and mirrors; hard parts comprising engine, chassis, drivetrain, suspension, braking, electrical, and other mechanical components necessary for vehicle operation; and other parts and accessories, such as suspension kits, towing equipment, lift kits, and other products under the Carparts.com, Kool-Vue, JC Whitney, Evan Fischer, SureStop, TrueDrive, DriveWire, and DriveMotive brands. It distributes its products through multiple channels, such as direct-to-consumer e-commerce platforms, online marketplaces, specialty retailers, wholesale distributors, and traditional brick-and-mortar stores. The company was formerly known as U.S. Auto Parts Network, Inc. and changed its name to CarParts.com, Inc. in July 2020. CarParts.com, Inc. was incorporated in 1995 and is headquartered in Long Beach, California.

Stock Fundamentals
Scroll to Statements
Market Cap 73.64M Enterprise Value 96.73M Income -50.44M Sales 547.52M Book/sh 0.81 Cash/sh 0.37
Dividend Yield Payout 0.00% Employees 1186 IPO P/E Forward P/E -3.20
PEG 3.71 P/S 0.13 P/B 1.19 P/C EV/EBITDA -3.95 EV/Sales 0.18
Quick Ratio 0.41 Current Ratio 1.66 Debt/Eq 102.17 LT Debt/Eq EPS (ttm) -0.82 EPS next Y -0.30
EPS Growth Revenue Growth -9.80% Earnings 2026-05-07 ROA -14.28% ROE -72.76% ROIC
Gross Margin 32.76% Oper. Margin -6.30% Profit Margin -9.21% Shs Outstand 76.69M Shs Float 61.07M Short Float 2.03%
Short Ratio 1.63 Short Interest 52W High 1.36 52W Low 0.37 Beta 0.78 Avg Volume 740.61K
Volume 491.21K Target Price $1.00 Recom None Prev Close $0.96 Price $0.96 Change -0.35%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$1.00
Mean price target
2. Current target
$0.96
Latest analyst target
3. DCF / Fair value
$-5.28
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.96
Low
$0.50
High
$1.50
Mean
$1.00

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-03-06 main RBC Capital Sector Perform → Sector Perform $1
2025-08-13 main RBC Capital Sector Perform → Sector Perform $1
2025-05-14 reit RBC Capital Sector Perform → Sector Perform $1
2024-10-30 main RBC Capital Sector Perform → Sector Perform $1
2024-07-31 main Lake Street Buy → Buy $2
2024-07-31 down RBC Capital Outperform → Sector Perform $1
2024-05-08 down Craig-Hallum Buy → Hold $2
2024-03-08 main Craig-Hallum Buy → Buy $4
2024-03-08 main RBC Capital Outperform → Outperform $3
2023-10-31 main Roth MKM Buy → Buy $4
2023-10-31 main RBC Capital Outperform → Outperform $4
2023-08-24 reit Roth MKM Buy → Buy $6
2023-08-02 main RBC Capital Outperform → Outperform $7
2023-05-03 main RBC Capital — → Outperform $9
2023-03-08 main Lake Street — → Buy $12
2022-11-10 main RBC Capital — → Outperform $10
2022-03-04 init Lake Street — → Buy $18
2021-12-28 main Roth Capital — → Buy $18
2021-08-06 main RBC Capital — → Outperform $21
2021-05-11 main Roth Capital — → Buy $30
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-06 GREYSON JAY KEITH Director 14,291 $0.81 $11,576
2026-02-06 MENIANE DAVID Chief Executive Officer 72,652
2026-02-06 SUBRAMANIAN KALS Chief Technology Officer 24,483
2026-02-06 HUFFAKER MICHAEL Chief Operating Officer 13,334
2026-01-16 MENIANE DAVID Chief Executive Officer 158,713
2026-01-16 SUBRAMANIAN KALS Chief Technology Officer 57,917
2026-01-16 HUFFAKER MICHAEL Chief Operating Officer 62,380
2026-01-05 GREYSON JAY KEITH Director 21,019 $0.55 $11,560
2026-01-02 MENIANE DAVID Chief Executive Officer 150,000
2026-01-02 SUBRAMANIAN KALS Chief Technology Officer 91,666
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
547.52
-7.02%
588.85
-12.86%
675.73
+2.13%
661.60
Operating Revenue
547.52
-7.02%
588.85
-12.86%
675.73
+2.13%
661.60
Cost Of Revenue
368.18
-6.10%
392.11
-12.15%
446.32
+3.62%
430.71
Reconciled Cost Of Revenue
368.18
-6.10%
392.11
-12.15%
446.32
+3.62%
430.71
Gross Profit
179.35
-8.84%
196.74
-14.24%
229.41
-0.64%
230.89
Operating Expense
228.22
-3.86%
237.37
-0.80%
239.29
+3.93%
230.24
Other Operating Expenses
228.22
-3.86%
237.37
-0.80%
239.29
+3.93%
230.24
Total Expenses
596.40
-5.26%
629.48
-8.19%
685.61
+3.73%
660.95
Operating Income
-48.88
-20.28%
-40.63
-311.24%
-9.88
-1617.82%
0.65
Total Operating Income As Reported
-48.88
-20.28%
-40.63
-311.24%
-9.88
-1617.82%
0.65
EBITDA
-27.71
-38.05%
-20.07
-299.89%
10.04
-32.30%
14.83
Normalized EBITDA
-27.71
-38.05%
-20.07
-299.89%
10.04
-32.30%
14.83
Reconciled Depreciation
20.67
+8.25%
19.10
+14.17%
16.73
+21.95%
13.71
EBIT
-48.38
-23.52%
-39.17
-486.01%
-6.68
-697.85%
1.12
Net Income
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Pretax Income
-50.08
-24.17%
-40.33
-399.31%
-8.08
-2432.29%
-0.32
Net Non Operating Interest Income Expense
-1.70
-45.84%
-1.17
+16.43%
-1.39
+2.99%
-1.44
Interest Expense Non Operating
1.70
+45.84%
1.17
-16.43%
1.39
-2.99%
1.44
Net Interest Income
-1.70
-45.84%
-1.17
+16.43%
-1.39
+2.99%
-1.44
Interest Expense
1.70
+45.84%
1.17
-16.43%
1.39
-2.99%
1.44
Other Income Expense
0.49
-66.37%
1.47
-54.14%
3.20
+584.58%
0.47
Other Non Operating Income Expenses
0.49
-66.37%
1.47
-54.14%
3.20
+584.58%
0.47
Tax Provision
0.36
+35.58%
0.27
+84.14%
0.14
-77.06%
0.63
Tax Rate For Calcs
0.00
+90.48%
0.00
+0.00%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Net Income From Continuing Operation Net Minority Interest
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Net Income From Continuing And Discontinued Operation
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Net Income Continuous Operations
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Normalized Income
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Net Income Common Stockholders
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Diluted EPS
-0.82
-15.49%
-0.71
-373.33%
-0.15
-650.00%
-0.02
Basic EPS
-0.82
-15.49%
-0.71
-373.33%
-0.15
-650.00%
-0.02
Basic Average Shares
61.20
+7.31%
57.03
+0.81%
56.57
+4.49%
54.14
Diluted Average Shares
61.20
+7.31%
57.03
+0.81%
56.57
+4.49%
54.14
Diluted NI Availto Com Stockholders
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
184.86
-12.21%
210.57
-18.34%
257.86
+8.16%
238.40
Current Assets
135.06
-2.74%
138.87
-28.17%
193.34
+15.17%
167.87
Cash Cash Equivalents And Short Term Investments
25.82
-29.06%
36.40
-28.56%
50.95
+171.49%
18.77
Cash And Cash Equivalents
25.82
-29.06%
36.40
-28.56%
50.95
+171.49%
18.77
Receivables
7.06
+15.79%
6.10
-17.20%
7.37
+14.97%
6.41
Accounts Receivable
7.06
+15.79%
6.10
-17.20%
7.37
+14.97%
6.41
Inventory
95.18
+5.34%
90.35
-29.91%
128.90
-5.24%
136.03
Other Current Assets
7.00
+16.21%
6.02
-1.65%
6.12
-8.26%
6.67
Total Non Current Assets
49.80
-30.55%
71.71
+11.14%
64.52
-8.52%
70.53
Net PPE
46.01
-33.94%
69.65
+13.84%
61.19
-10.01%
67.99
Gross PPE
97.18
-8.59%
106.32
+25.16%
84.95
-7.79%
92.12
Accumulated Depreciation
-51.17
-39.57%
-36.67
-54.31%
-23.76
+1.53%
-24.13
Properties
0.00
0.00
0.00
0.00
Machinery Furniture Equipment
64.05
+7.44%
59.62
+68.44%
35.39
-0.64%
35.62
Construction In Progress
4.58
-13.54%
5.30
-55.88%
12.01
+16.10%
10.34
Other Properties
25.82
-31.05%
37.45
+7.62%
34.80
-20.37%
43.70
Leases
2.73
-31.03%
3.96
+43.87%
2.75
+11.97%
2.46
Other Non Current Assets
3.79
+84.51%
2.05
-38.37%
3.33
+31.30%
2.54
Total Liabilities Net Minority Interest
131.38
+4.77%
125.40
-13.53%
145.02
+13.01%
128.33
Current Liabilities
81.24
-10.15%
90.42
-19.97%
112.99
+28.35%
88.03
Payables And Accrued Expenses
69.53
-9.05%
76.45
-22.48%
98.62
+33.12%
74.08
Payables
44.88
-25.65%
60.37
-22.46%
77.85
+35.12%
57.62
Accounts Payable
44.88
-25.65%
60.37
-22.46%
77.85
+35.12%
57.62
Current Accrued Expenses
24.64
+53.22%
16.08
-22.57%
20.77
+26.14%
16.47
Current Debt And Capital Lease Obligation
7.62
-17.84%
9.28
+2.47%
9.06
-2.86%
9.32
Current Capital Lease Obligation
7.62
-17.84%
9.28
+2.47%
9.06
-2.86%
9.32
Current Deferred Liabilities
Current Deferred Revenue
Other Current Liabilities
4.09
-12.87%
4.69
-11.57%
5.31
+14.84%
4.62
Total Non Current Liabilities Net Minority Interest
50.14
+43.35%
34.98
+9.17%
32.04
-20.50%
40.30
Long Term Debt And Capital Lease Obligation
47.01
+46.71%
32.05
+10.24%
29.07
-22.13%
37.33
Long Term Debt
25.16
Long Term Capital Lease Obligation
21.85
-31.81%
32.05
+10.24%
29.07
-22.13%
37.33
Other Non Current Liabilities
3.12
+6.62%
2.93
-1.28%
2.97
-0.07%
2.97
Stockholders Equity
53.48
-37.22%
85.17
-24.51%
112.83
+2.51%
110.07
Common Stock Equity
53.48
-37.22%
85.17
-24.51%
112.83
+2.51%
110.07
Capital Stock
0.07
+6.56%
0.06
+1.67%
0.06
+5.26%
0.06
Common Stock
0.07
+6.56%
0.06
+1.67%
0.06
+5.26%
0.06
Share Issued
69.76
+21.42%
57.45
-0.19%
57.56
+5.25%
54.69
Ordinary Shares Number
65.98
+22.93%
53.67
-0.20%
53.78
+3.17%
52.13
Treasury Shares Number
3.79
+0.00%
3.79
+0.00%
3.79
+47.60%
2.56
Additional Paid In Capital
344.12
+5.70%
325.55
+4.05%
312.87
+5.25%
297.26
Retained Earnings
-280.02
-21.97%
-229.57
-21.48%
-188.97
-4.55%
-180.75
Gains Losses Not Affecting Retained Earnings
1.22
+15.92%
1.05
+34.74%
0.78
-30.46%
1.13
Treasury Stock
11.91
+0.00%
11.91
+0.00%
11.91
+56.22%
7.62
Other Equity Adjustments
1.22
+15.92%
1.05
+34.74%
0.78
-30.46%
1.13
Total Equity Gross Minority Interest
53.48
-37.22%
85.17
-24.51%
112.83
+2.51%
110.07
Total Capitalization
78.64
-7.68%
85.17
-24.51%
112.83
+2.51%
110.07
Working Capital
53.82
+11.09%
48.45
-39.71%
80.35
+0.64%
79.84
Invested Capital
78.64
-7.68%
85.17
-24.51%
112.83
+2.51%
110.07
Total Debt
54.64
+32.21%
41.33
+8.39%
38.13
-18.28%
46.65
Capital Lease Obligations
29.48
-28.67%
41.33
+8.39%
38.13
-18.28%
46.65
Net Tangible Assets
53.48
-37.22%
85.17
-24.51%
112.83
+2.51%
110.07
Tangible Book Value
53.48
-37.22%
85.17
-24.51%
112.83
+2.51%
110.07
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
-34.08
-429.62%
10.34
-79.32%
50.00
+225.36%
15.37
Cash Flow From Continuing Operating Activities
-34.08
-429.62%
10.34
-79.32%
50.00
+225.36%
15.37
Net Income From Continuing Operations
-50.44
-24.24%
-40.60
-393.75%
-8.22
-764.67%
-0.95
Depreciation Amortization Depletion
20.67
+8.25%
19.10
+14.17%
16.73
+21.95%
13.71
Depreciation
20.62
+8.67%
18.98
+13.69%
16.69
+22.66%
13.61
Amortization Cash Flow
0.05
-58.68%
0.12
+236.11%
0.04
-66.67%
0.11
Depreciation And Amortization
20.67
+8.25%
19.10
+14.17%
16.73
+21.95%
13.71
Amortization Of Intangibles
0.05
-58.68%
0.12
+236.11%
0.04
-66.67%
0.11
Other Non Cash Items
0.81
+654.63%
0.11
+22.73%
0.09
+17.33%
0.07
Stock Based Compensation
8.11
-32.41%
11.99
+2.74%
11.68
+3.12%
11.32
Asset Impairment Charge
3.69
0.00
Deferred Tax
Deferred Income Tax
Operating Gains Losses
-0.07
+10.26%
-0.08
-90.24%
-0.04
Change In Working Capital
-16.92
-185.40%
19.81
-33.55%
29.81
+440.64%
-8.75
Change In Receivables
-0.96
-176.09%
1.27
+215.08%
-1.10
+22.68%
-1.42
Changes In Account Receivables
-0.96
-176.09%
1.27
+215.08%
-1.10
+22.68%
-1.42
Change In Inventory
-4.83
-112.52%
38.55
+476.96%
6.68
+136.50%
2.83
Change In Payables And Accrued Expense
-7.67
+63.79%
-21.19
-189.41%
23.70
+346.09%
-9.63
Change In Other Current Assets
-2.98
-334.88%
1.27
+321.93%
0.30
+138.74%
-0.78
Change In Other Current Liabilities
-0.47
-440.23%
-0.09
-136.86%
0.24
-6.72%
0.25
Investing Cash Flow
-7.90
+61.58%
-20.56
-72.73%
-11.90
+4.92%
-12.52
Cash Flow From Continuing Investing Activities
-7.90
+61.58%
-20.56
-72.73%
-11.90
+4.92%
-12.52
Net PPE Purchase And Sale
-7.90
+61.44%
-20.48
-73.67%
-11.79
+5.78%
-12.52
Purchase Of PPE
-7.96
+61.30%
-20.57
-73.19%
-11.88
+5.61%
-12.59
Sale Of PPE
0.06
-30.43%
0.09
+6.98%
0.09
+26.47%
0.07
Capital Expenditure
-7.96
+61.45%
-20.65
-72.26%
-11.99
+4.75%
-12.59
Net Intangibles Purchase And Sale
0.00
+100.00%
-0.08
+29.63%
-0.11
0.00
Purchase Of Intangibles
0.00
+100.00%
-0.08
+29.63%
-0.11
0.00
Financing Cash Flow
31.40
+810.02%
-4.42
+25.25%
-5.92
-174.78%
-2.15
Cash Flow From Continuing Financing Activities
31.40
+810.02%
-4.42
+25.25%
-5.92
-174.78%
-2.15
Net Issuance Payments Of Debt
21.56
+600.02%
-4.31
+9.01%
-4.74
-11.96%
-4.23
Issuance Of Debt
45.67
+19845.41%
0.23
-6.15%
0.24
-97.66%
10.42
Repayment Of Debt
-24.12
-431.26%
-4.54
+8.87%
-4.98
+65.99%
-14.65
Long Term Debt Issuance
45.67
+19845.41%
0.23
-6.15%
0.24
-97.66%
10.42
Long Term Debt Payments
-24.12
-431.26%
-4.54
+8.87%
-4.98
+65.99%
-14.65
Net Long Term Debt Issuance
21.56
+600.02%
-4.31
+9.01%
-4.74
-11.96%
-4.23
Net Common Stock Issuance
10.73
0.00
+100.00%
-4.31
0.00
Common Stock Payments
0.00
+100.00%
-4.31
0.00
Cash Dividends Paid
0.00
Repurchase Of Capital Stock
0.00
+100.00%
-4.31
0.00
Proceeds From Stock Option Exercised
0.17
-51.81%
0.36
-88.54%
3.13
+50.70%
2.08
Net Other Financing Charges
-1.06
-126.60%
-0.47
Changes In Cash
-10.58
+27.76%
-14.64
-145.49%
32.18
+4510.89%
0.70
Effect Of Exchange Rate Changes
0.00
-100.00%
0.09
0.00
+100.00%
-0.07
Beginning Cash Position
36.40
-28.56%
50.95
+171.49%
18.77
+3.43%
18.14
End Cash Position
25.82
-29.06%
36.40
-28.56%
50.95
+171.49%
18.77
Free Cash Flow
-42.04
-307.69%
-10.31
-127.12%
38.01
+1265.94%
2.78
Interest Paid Supplemental Data
1.50
+28.67%
1.17
-16.43%
1.39
-2.99%
1.44
Income Tax Paid Supplemental Data
0.18
-15.24%
0.21
-67.64%
0.65
Common Stock Issuance
10.73
0.00
0.00
Issuance Of Capital Stock
10.73
0.00
0.00
Preferred Stock Dividend Paid
0.00
Sale Of Intangibles
0.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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