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Lanvin Group Holdings Limited LANV NYSE

NYSE • Consumer Cyclical • Luxury Goods • CN • USD

SharesGrow Score
35/100
1/7 Pass
SharesGrow Intrinsic Value
N/A
Negative cash flow
Analyst Price Target
$6.50
+319.4%

Lanvin Group Holdings Limited (LANV) is a Luxury Goods company in the Consumer Cyclical sector, currently trading at $1.55. It has a SharesGrow Score of 35/100, indicating a weak investment profile with 1 out of 7 criteria passed.

Analyst consensus target is LANV = $7 (+319.4% upside).

Valuation: LANV trades at a trailing Price-to-Earnings (P/E) of -1.2 (S&P 500 average ~25) with a forward Price/Earnings-to-Growth (PEG) of 0.1.

Financials: revenue is $329M, +4.9%/yr average growth. Net income is $165M (loss), growing at -65.1%/yr. Net profit margin is -50.3% (negative). Gross margin is 55.6% (+0.6 pp trend).

Balance sheet: total debt is $338M with negative equity of -$4M — this means total liabilities exceed total assets. This is a warning sign that may indicate accumulated losses, aggressive share buybacks, heavy debt financing, or aggressive dividend payouts. Companies like McDonald's and Starbucks also carry negative equity due to buybacks and dividends, but investors should assess whether the business generates sufficient cash flow to service its debt and sustain payouts. Current ratio is 0.4 (tight liquidity). Debt-to-assets is 55%. Total assets: $614M.

Analyst outlook: 0 / 1 analysts rate LANV as buy (0%) — mixed sentiment.

SharesGrow 7-Criteria breakdown: Value 100/100 (Pass), Growth 30/100 (Fail), Past 0/100 (Fail), Health 0/100 (Fail), Moat 54/100 (Partial), Future 52/100 (Partial), Income 10/100 (Fail).

$6.50
▲ 319.35% Upside
Average Price Target
The 12-month price target for Lanvin Group Holdings Limited is $6.50.

LANV SharesGrow Score Overview

49/100
SharesGrow Score
Mixed signals — some strengths
View full scorecard →
VALUE 100/100
Valuation — P/E, PEG, Forward PEG
GROWTH 30/100
Financials — average growth
PAST 0/100
strong — trend
HEALTH 0/100
Balance sheet — Debt-to-Equity (D/E) ratio, Current ratio is
MOAT 54/100
Gross margin is + market cap
FUTURE 52/100
Analyst outlook — as buy
INCOME 10/100
Net profit margin is
Scores derived from financial statements, analyst ratings, and balance sheet data.

Stock Chart & Stats

Market Data
52-Week Range1.03-2.69
Volume12.53K
Avg Volume (30D)98.02K
Market Cap$181.82M
Beta (1Y)-0.21
Share Statistics
EPS (TTM)-1.41
Shares Outstanding$117.32M
IPO Date2021-03-15
Employees2,406
CEOMarco Pozzo
Financial Highlights & Ratios
Revenue (TTM)$328.61M
Gross Profit$182.76M
EBITDA$-110.9M
Net Income$-165.26M
Operating Income$-166.64M
Total Cash$18.04M
Total Debt$337.83M
Net Debt$319.79M
Total Assets$614.09M
Price / Earnings (P/E)-1.1
Price / Sales (P/S)0.55
Analyst Forecast
1Y Price Target$6.50
Target High$6.50
Target Low$6.50
Upside+319.4%
Rating ConsensusHold
Analysts Covering1
Buy 0% Hold 100% Sell 0%
Price Target Summary
Company Info
CountryCN
ExchangeNYSE
CurrencyUSD
ISINKYG5380J1004

Price Chart

LANV
Lanvin Group Holdings Limited  ·  NYSE
Consumer Cyclical • Luxury Goods
1.03 52WK RANGE 2.69
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