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GNLN · Greenlane Holdings, Inc.

Track GNLN — free
$3.36 +0.70 (+26.32%)
Market Cap
$2.13M
Shares
694,544
Volume · Oct 5 151.01K Avg daily vol (3M) 35.85K

Price & Indicators

Drag to pan · scroll to zoom
20d MA 50d MA 200d MA Earnings Filing Insider Congress Investor day
Close$2.66 Open$2.94 Day$2.65–2.97 52W close$1.68–33.20 Avg vol 30d21K Short int14K · 2.0% float · 1.0d Short vol39% Last earningsAug 14, 2023 DataMar 2021–Oct 2026 Filing10-Q · Aug 14

Up next

filed Aug 14, 2026
call held Aug 14, 2023

Metrics snapshot

Useful current figures from the complete screener profile.

Revenue (TTM)
—
Trailing 12 months
Net income (TTM)
—
Trailing 12 months
Revenue growth YoY
—
Year over year
Operating margin
—
Trailing 12 months
P / E (TTM)
—
Trailing earnings
FCF yield
—
TTM · current market cap
Return on invested capital
—
Trailing 12 months
Net cash
—
Latest balance sheet
Dividend yield
—
Trailing 12 months
Shares change YoY
—
Year over year · more shares
Price change (1Y)
—
Trailing year
Short interest
2.0%
Latest settlement · 1.0 days to cover
View all 115 metrics

Equibles Rating

blended score · not investment advice
Overall
Strong Sell
SellHoldBuy
Technical Neutral Momentum Very Weak Sentiment Bearish Fundamentals Weak Quant / Vol Very High
Market backdrop VIX 15.3 · calm Equity put/call 0.58
Technical
price trend
Neutral
50 / 200-day cross No cross
Price vs 200-day avg −51%
below
Price vs 50-day avg +6%
above
RSI (14) 49
neutral
MACD trend Negative
52-week position 3%
near low
Volume (OBV) Bullish div.
accumulating
Momentum
relative strength
Very Weak
1-month return −6%
trailing
6-month return −17%
trailing
YTD return −79%
this year
Relative strength −29%
vs S&P · 6-mo
Sentiment
smart money
Bearish
Trend (MA cross) No cross
50d $3 › 200d $5 — 200d above 50d
Institutional flow Distributing
-50% holders QoQ · +1 funds added
Insider flow Flat
No net insider activity over 90 days
Short interest Rising
2.04% of float · ▲ +21.7% MoM · 1.0 days cover
Volume signal Normal
Volume near normal
Institution breadth Multi-yr low
6 holders — near 3-yr low, contrarian setup
Squeeze score 50
elevated · 0–100
Fundamentals
Weak
Revenue growth −80%
Y/Y
Gross margin -94%
contracting
EPS growth +22%
Y/Y
Free cash flow $-16.4M
Buyback $2.0M
authorized
Balance sheet $6.8M
net debt
Quant / Vol
risk profile
Very High
Volatility 137%
annualized · 1-yr
Max drawdown −95%
past year
ATR 11.5%
of price · 14-day

Blended from price, momentum, positioning, fundamentals & volatility · daily-close · not investment advice. Market backdrop is context, not part of the score.

Guidance & track record

Latest guidance · from the Earnings Call filed Aug 17, 2021
Total gross margin · three-year outlook 35%
Guided vs delivered · last 1 settled
Revenue pro forma 2021
guided $310M – $330M
$166.06M Miss −48.1%

Guidance from company 8-Ks · delivered figures from as-reported statements · no analyst estimates involved.

Technicals

trend & momentum for long-term holders Neutral
3 · 2 · 2
50 / 200-day cross
No cross Neutral
Price vs 200-day avg
−51% Bearish
Price vs 50-day avg
+6% Bullish
RSI (14)
49 Neutral
MACD trend
Negative Bearish
52-week position
3% Bearish
Volume (OBV)
Bullish div. Bullish
Market signals — smart money & positioning
Bearish · 2 of 6
Trend (MA cross) No cross
50d $3 › 200d $5 — 200d above 50d
Institutional flow Distributing
-50% holders QoQ · +1 funds added
Insider flow Flat
No net insider activity over 90 days
Short interest Rising
2.04% of float · ▲ +21.7% MoM · 1.0 days cover
Volume signal Normal
Volume near normal
Institution breadth Multi-yr low
6 holders — near 3-yr low, contrarian setup
Price context
position in its 52-week range
Range low $2 Now $3 · 3% Range high $33
vs 200-day avg -51% vs 50-day avg +6%

Illustrative technical + ownership context — a signal mix, not investment advice.

Key metrics

the company's own KPIs, from written earnings releases and filings
Metric Latest Period YoY
Gross margin for the Wholesale and Distribution Segment 39% the three months ended June 30, 2026 filing —

Figures exactly as the company stated them in writing · click a metric with a to chart its history · period links open the stating document · "filing" marks figures stated in the 10-K/10-Q · YoY needs an exactly comparable prior-year period

Versus peers

Tobacco — same industry group
Open screener →
Company Mkt cap YTD Rev growth Y/Y P/E Short % shares
GNLN
Greenlane Holdings, Inc.
this stock
$2.13M — -79.7% — 2.0%
PM
Philip Morris International Inc.
$296.88B +16.9% +7.3% 27.4 0.9%
BTI
British American Tobacco p.l.c.
$118.02B -7.0% — — 0.1%
MO
Altria Group, Inc.
$114.91B +16.8% -3.1% 14.5 2.3%
RLX
RLX Technology Inc.
$2.05B -26.6% +50.3% — 0.8%

Peers by industry group · P/E from as-reported trailing EPS · short % is of shares outstanding

At a glance

key data from every section
Ownership
Institutional Holders Reducing
Holders
6
% held
4.2%
Net QoQ
-13.3K sh
Top holder
Yorkville Advisors Global…
Held Float
View
Held by Funds
Fund positions
2
View
Short & Settlement
Short Interest Rising
Shares short
14.2K
Days to cover
1.0d
Change
+2.5K sh
View
Short Volume
Short vol %
39%
As of
Oct 5, 2026
Short Total
View
Fails to Deliver
FTD shares
916
Value
$2.4K
As of
Sep 11, 2026
View
Off-Exchange
Off-exchange %
42.6%
Week of
Aug 31, 2026
Off-exch Lit
View
Financials
Financials
Revenue (FY)
$4.4M
Net income (FY)
$-85.6M
EPS diluted
$-91.36
View
Buybacks
Authorized
$2.0M
View
Filings
SEC Filings
Latest
8-K
Filed
Sep 1, 2026
This year
21
View
Exempt Offerings
Offering
$6.5M
Filed
Aug 28, 2024
View
Earnings & Events
Webcasts
Last webcast
Aug 14, 2023
View

Performance

5D 20D 120D MTD YTD
GNLN -13.4% -6.3% -17.1% -9.5% -78.8%
SPY -0.2% -0.5% +12.2% +0.9% +12.9%
vs SPY -13.1% -5.9% -29.3% -10.4% -91.7%

Capital returns

Buyback program · as of Apr 7, 2026
Authorized
$2.00M
Spent (derived)
—
Remaining
—

Dividends per share over the trailing 365 days by ex-date · buyback figures as last reported in SEC filings ("spent" derived as authorized − remaining; when several programs run concurrently, authorized is their combined total per the newest filing) · components shown separately — trailing-year buyback spend isn't tracked, so no combined shareholder yield is derived.

Key facts CIK 1743745 CUSIP 395330608 Visit website Investor relations