CVNA vs the Competition: Which Stock Comes Out on Top?

CVNA: Carvana logo
CVNA
Carvana

Here is how Carvana (CVNA) stacks up against its peers in size, valuation, growth and margin.

  • CVNA’s operating margin of 8.4% is modest, and higher than most peers – though lower than AZO (19.6%).
  • CVNA’s revenue growth of 32.2% in the last 12 months is solid, outpacing KMX, LAD, AN, AZO, ORLY.
  • CVNA gained 192.9% in the past year and trades at a PE of 131.4, outperforming its peers.
CVNA KMX LAD AN AZO ORLY
Market Cap ($ Bil) 52.3 8.7 7.6 7.5 63.1 84.5
Revenue ($ Bil) 14.8 26.4 36.8 27.0 18.9 16.9
PE Ratio 131.4 17.4 8.9 11.1 24.6 35.5
LTM Revenue Growth 32.2% -0.7% 12.8% -0.2% 5.2% 4.9%
LTM Operating Margin 8.4% -0.8% 4.2% 4.5% 19.6% 19.2%
LTM FCF Margin 6.4% 0.6% 0.3% -1.3% 10.6% 12.1%
12M Market Return 192.9% -33.0% 4.9% 1.0% 20.3% 30.9%

Carvana operates a U.S. e-commerce platform for buying and selling used cars, offering vehicle research and 360-degree imaging for inspection.

Why does this matter? CVNA just went up 19.7% in a week – peer comparison puts stock performance, valuation, and financials in context – highlighting whether it is truly outperforming, lagging behind, and above all – can this continue? Read Buy or Sell CVNA Stock to see if Carvana holds up as a quality investment. Furthermore, there is always a risk of fall after a strong rally – see how the stock has dipped and recovered in the past through CVNA Dip Buyer Analysis lens.

While peer comparison is critical Trefis High Quality Portfolio evaluates much more, and is designed to reduce stock-specific risks while giving upside exposure.

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Revenue Growth Comparison

LTM 2025 2024 2023 2022
CVNA 32.2% 26.9% -20.8% 6.2%
KMX -0.7% -0.7% -10.6% -6.9%
LAD 12.8% 16.6% 10.1% 23.5%
AN -0.2% -0.7% -0.1% 4.4%
AZO 5.2% 5.9% 7.4% 11.1%
ORLY 4.9% 5.7% 9.7% 8.1%

Operating Margin Comparison

LTM 2025 2024 2023 2022
CVNA 8.4% 7.2% -0.7% -11.1%
KMX -0.8% -0.8% -0.8% -1.0%
LAD 4.2% 4.0% 5.3% 6.7%
AN 4.5% 4.6% 6.0% 7.4%
AZO 19.6% 20.5% 19.9% 20.1%
ORLY 19.2% 19.5% 20.2% 20.5%

PE Ratio Comparison

LTM 2025 2024 2023 2022
CVNA 113.5 118.5 12.9 -0.3
KMX 23.9 25.4 25.3 19.9
LAD 10.5 12.0 9.0 4.6
AN 11.4 9.9 6.6 4.4
AZO 24.9 20.8 18.9 20.4
ORLY 34.5 29.0 24.5 25.0

The Trefis High Quality (HQ) Portfolio, with a collection of 30 stocks, has a track record of comfortably outperforming the S&P 500 over the last 4-year period. Why is that? As a group, HQ Portfolio stocks provided better returns with less risk versus the benchmark index; less of a roller-coaster ride, as evident in HQ Portfolio performance metrics.