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LANV

BEARISH
$1.51 Live
Lanvin Group Holdings Limited · NYSE
Target $1.52 (+0.9%)
$1.03 52W Range $2.69

At a glance

Key valuation, profitability, growth, and risk metrics.

Updated Apr 29, 2026
Market cap
$211.06M
P/E
N/A
ROE
N/A
Profit margin
-62.2%
Debt/Equity
N/A
Dividend yield
N/A

AI Analysis

AI-powered fundamental assessment

Confidence
95%
Lanvin Group exhibits severe financial distress, characterized by a Piotroski F-Score of 4/9 which barely maintains a 'stable' rating despite critical liquidity failures. The company is facing a solvency crisis with a negative Price-to-Book ratio of -1.80 and a dangerously low Current Ratio of 0.35, indicating an inability to cover short-term obligations. Revenue is contracting sharply at -22% YoY, while operating margins remain deeply negative at -52.80%. With a 0/100 technical trend and significant long-term price erosion, the outlook is highly precarious.

Key Strengths

Gross margin remains relatively healthy at 53.70%
Low Price-to-Sales ratio (0.73) suggests low valuation relative to top-line
Operates in the high-value Luxury Goods industry
Current price is trading near the single analyst's target price of $1.52
Small market cap allows for high volatility if a turnaround occurs

Key Risks

Critical liquidity risk with a Quick Ratio of 0.11
Negative equity as evidenced by the -1.80 Price/Book ratio
Significant revenue decline of -22% YoY
Severe profitability issues with a -62.22% profit margin
Strongly bearish technical trend (0/100) and long-term price collapse

Performance Snowflake

Multi-dimensional analysis across 5 key categories

Overall
13
Weak
Value
10
Future
20
Past
10
Health
25
Dividend
0
AI Verdict
High Risk / Speculative
Key drivers: Negative Book Value, Liquidity Crisis, Revenue Contraction, Deep Operating Losses
Confidence
90%
Value
10/100

Valuation is meaningless when equity is negative and earnings are absent.

Positives
  • Low P/S ratio
Watchpoints
  • Negative P/B ratio
  • No P/E due to losses
  • No Graham Number available
Future
20/100

Growth metrics are trending sharply downward.

Positives
  • Luxury sector potential
Watchpoints
  • Revenue growth is -22%
  • Forward P/E is negative
Past
10/100

Consistent long-term value destruction for shareholders.

Positives
No standout positives identified.
Watchpoints
  • 5Y Change: -84.9%
  • 1Y Change: -30.0%
Health
25/100

Piotroski score is misleadingly 'stable' while liquidity ratios signal imminent distress.

Positives
  • Piotroski F-Score of 4/9
Watchpoints
  • Current Ratio 0.35
  • Quick Ratio 0.11
  • Negative ROA
Dividend
0/100

Company is in no position to return capital.

Positives
No standout positives identified.
Watchpoints
  • No dividend paid
  • 0/100 strength score

Stock Price & Analyst Targets

Real-time price movements and analyst price targets

Current Price
$1.51
Analyst Target
$1.52
Upside/Downside
+0.9%

Multi-Horizon Performance vs Peers

Price momentum across 5Y → 1W horizons for LANV and closest competitors.

Updated 2026-04-28
LAN
Lanvin Group Holdings Limited
Primary
5Y
-84.9%
3Y
-70.5%
1Y
-30.0%
6M
-28.8%
1M
+0.3%
1W
-5.6%
FNK
Funko, Inc.
Peer
5Y
-83.8%
3Y
-60.6%
1Y
-30.6%
6M
+20.2%
1M
-19.0%
1W
+15.4%
JAC
Jack in the Box Inc.
Peer
5Y
-88.8%
3Y
-86.2%
1Y
-53.9%
6M
-34.0%
1M
-14.4%
1W
+14.6%
FLW
1-800-FLOWERS.COM, Inc.
Peer
5Y
-86.9%
3Y
-70.5%
1Y
-39.8%
6M
-23.1%
1M
+2.7%
1W
+6.2%
PLB
Playboy, Inc.
Peer
5Y
-95.0%
3Y
+1.8%
1Y
+77.2%
6M
+21.0%
1M
-1.1%
1W
+8.1%

Positive values indicate cumulative gains over the specified period. Comparables pulled from the same sector to highlight whether momentum is stock-specific or industry-wide.

Historical Performance Trends

Long-term financial metrics and growth patterns

Revenue & Net Income

Profit & Operating Margins

Return on Equity (ROE)

Quarterly Revenue Growth

Historical data shows last 12 quarters (3 years)

Valuation Metrics

Key valuation ratios and pricing indicators

P/E Ratio
N/A
Forward P/E
-1.72
PEG Ratio
N/A
P/B Ratio
-1.8
P/S Ratio
0.73
EV/Revenue
1.94
EV/EBITDA
-4.53
Market Cap
$211.06M

Profitability

Profit margins and return metrics

Profit Margin -62.22%
Operating Margin -52.8%
Gross Margin 53.7%
ROE N/A
ROA -13.43%

Growth

Revenue and earnings growth rates

Revenue Growth -22.0%
Earnings Growth N/A
Q/Q Revenue Growth N/A
Q/Q Earnings Growth N/A

Financial Health

Balance sheet strength and liquidity metrics

Debt/Equity
N/A
Current Ratio
0.35
Weak
Quick Ratio
0.11
Poor
Cash/Share
$0.25

Financial Statement Flow

Interactive flow visualization showing how money moves through the company Q2 2025

Total Assets
$0.6B
Liabilities
$0.7B
Equity
$-0.1B
Debt/Equity
-8.15x

Quarterly Earnings History

EPS performance vs analyst estimates

2026-04-30
$N/A

Consumer Cyclical Sector Comparison

Comparing LANV against 405 companies in the Consumer Cyclical sector (26 bullish, 140 neutral, 239 bearish)
Profit Margin
-62.22%
This Stock
vs
-5.23%
Sector Avg
+1088.8% (Superior)
Revenue Growth
-22.0%
This Stock
vs
27.46%
Sector Avg
-180.1% (Slower)
Current Ratio
0.35
This Stock
vs
2.46
Sector Avg
-85.8% (Weaker)

Similar Companies

Peer comparison within the same industry

SEC Filings

Recent regulatory filings from the SEC EDGAR database

20-F
20-F
2025-04-30

LANV filed its annual report on Form 20-F on April 30, 2025. Specific financial highlights and risk factors were not provided in the available metadata.

20-F
FORM 20-F
2024-04-30

Lantheus Holdings plc (LANV) filed its annual report on Form 20-F on April 30, 2024. This comprehensive filing contains the company's audited financial statements and detailed risk disclosures for the fiscal year.

Data sourced from SEC EDGAR. AI summaries generated automatically.

Past News Coverage

Recent headlines mentioning LANV from our newsroom.

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