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Updated 10m ago
GORV logo

Lazydays Holdings, Inc.NasdaqCM:GORV Aktierapport

Marknadsvärde US$1.6m
Updated 10m ago
Aktiekurs
n/a
1Y-98.7%
7D-43.8%
1D-45.3%
Portföljens värde
​
Utsikt

Lazydays Holdings, Inc.

NasdaqCM:GORV Aktierapport

Börsvärde: US$1.6m

  • Översikt över företaget
  • Värdering
  • Framtida tillväxt
  • Tidigare resultat
  • Finansiell hälsa
  • Utdelning
  • Förvaltning
  • Ägarskap
  • Övrig information
  • Aktiegemenskap

This company listing is no longer active

This company may still be operating, however this listing is no longer active. Find out why through their latest events.

Lazydays Holdings (GORV) Aktievy

Lazydays Holdings, Inc. driver och förvaltar, genom sina dotterbolag, återförsäljare av fritidsfordon under varumärket Lazydays i USA. Mer information

GORV fundamental analys
Snöflinga Score
Värdering2/6
Framtida tillväxt0/6
Tidigare resultat0/6
Finansiell hälsa0/6
Utdelningar0/6

Riskanalys

Intäkterna har minskat med 66.3% per år under de senaste 5 åren

Mycket volatil aktiekurs under de senaste 3 månaderna jämfört med US marknaden

Har mindre än 1 år av cash runway

Aktieägarna har varit kraftigt utspädda under det senaste året

+ 2 fler risker

GORV Community Fair Values

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US$
Current Price
US$0.4296.3% undervärderad intrinsisk rabatt
%/yr
Decrease
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PastFuture-214m1b2016201920222025202620282031Revenue US$424.3mEarnings US$20.0m
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Lazydays Holdings, Inc. Konkurrenter

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U Power

Symbol: NasdaqCM:UCAR
Market cap: US$8.8m

Prishistorik och prestanda

Sammanfattning av aktiekursernas upp- och nedgångar samt förändringar för Lazydays Holdings
Historiska aktiekurser
Aktuell aktiekursUS$0.42
52 veckors högstaUS$33.00
52 veckors lägstaUS$0.41
Beta1.55
1 månads förändring-80.50%
3 månaders förändring-85.68%
1 års förändring-98.69%
3 års förändring-99.90%
5 års förändring-99.91%
Förändring sedan börsintroduktionen-99.87%

Senaste nyheter och uppdateringar

Recent updates

Analysartikel • Jul 30

Is Lazydays Holdings (NASDAQ:GORV) Using Debt In A Risky Way?

Legendary fund manager Li Lu (who Charlie Munger backed) once said, 'The biggest investment risk is not the volatility...
Analysartikel • Apr 09

Is Lazydays Holdings (NASDAQ:GORV) A Risky Investment?

Some say volatility, rather than debt, is the best way to think about risk as an investor, but Warren Buffett famously...
Analysartikel • Mar 19

Risks To Shareholder Returns Are Elevated At These Prices For Lazydays Holdings, Inc. (NASDAQ:GORV)

There wouldn't be many who think Lazydays Holdings, Inc.'s ( NASDAQ:GORV ) price-to-sales (or "P/S") ratio of 0.1x is...
Seeking Alpha • Oct 05

Lazydays CFO Nick Tomashot to retire, Kelly Porter to succeed

Lazydays (NASDAQ:LAZY) notifies that Nick Tomashot will retire as CFO.  Kelly Porter will assume the role of CFO on November 15, 2022. As part of the transition, Mr. Tomashot will remain with Lazydays as an advisor through the end of the year to help facilitate a smooth transition.
Seeking Alpha • Sep 22

Lazydays Holdings: Shares Are Cheap Even Though Recent Performance Has Been Mixed

Summary Lazydays Holdings has done well to continue growing its sales as of late, but the firm's bottom line has been negatively impacted. It is worth noting that profitability issues are largely due to one-time things and the decision by the firm to spend more on advertising. The nature of this pain, combined with how cheap shares are, leads me to be bullish about the firm. Investing in this market can be, at times, frustrating. At the same time, if you're right, it can also be incredibly rewarding. The reason why I say that this moment is frustrating is because of the overall pessimism surrounding the market because of high inflation, rising interest rates, and other similar issues. Although this is great for buying stocks on the cheap, the ideal thing would be to see those shares appreciate shortly thereafter. But to see pessimism continue to push shares down can be depressing, even if you believe that you are correct in your thesis. One company that has been hammered particularly hard lately is Lazydays Holdings (LAZY). This firm, which operates a chain of RV dealerships, has not been looked at kindly by investors lately. In addition to the aforementioned concerns that investors have, it's also true that the company shot down an opportunity to sell itself at a price that is quite a bit higher than where shares are today. Having said that, I do believe that the company still has attractive upside potential, even if financial performance shows signs of weakening. And as such, I have decided to retain my 'buy' rating on the company for now. Cruising with Lazydays Holdings The last time I wrote an article about Lazydays Holdings was in the middle of April of this year. I acknowledged the company's recent financial performance as strong demand for RVs sent revenue and profitability for the company rising. I also said that shares were looking attractively priced. But on top of that, the company also had an interesting catalyst involving the potential sale of itself to B. Riley Financial (RILY) at a price of $25 per share. This particular rejection came in March of this year, but there was some optimism that another offer for the enterprise might arise. Since the publication of that article, when I had a 'buy' rating assigned to the company, shares have generated a loss for investors of 17.1%. That compares to the 7.4% decline experienced by the S&P 500 over the same timeframe. Author - SEC EDGAR Data Based on this return disparity, you might initially think that the fundamental performance of the company was suffering. But that couldn't be further from the truth. Since that article was published, we have had data covering not one but two quarters come out. And the results so far have been impressive. Revenue in the first half of the 2022 fiscal year came in strong at $749.7 million. That's 26.3% higher than the $593.8 million generated the same time last year. This jump in revenue year over year was driven by strength across the board. New vehicle sales for the company grew by 18.3% during this window of time, with the average selling price of RVs rising by 23.4% from $74,900 to $92,400. This was offset to some degree by a decrease in the number of new units sold from 4,904 to 4,725. Revenue from pre-owned vehicle sales grew by a more impressive 45.2%, driven by the average selling price of these units climbing 18.3% from $63,000 to $74,500, and by an increase in the number of used units sold, excluding the company's wholesale operations, from 2,501 to 3,075. Author - SEC EDGAR Data Even in the second quarter alone, sales for the company remained impressive, climbing by 15.7% year over year from $322.8 million to $373.6 million. The average selling price of new vehicles rose from $72,100 to $89,300, with this rise being somewhat offset by dropping units sold from 2,780 to 2,455. Meanwhile, revenue from pre-owned vehicles grew by 33.1% thanks to pricing climbing from $59,400 to $70,400, and as the number of pre-owned vehicles sold increased from 1,428 to 1,597. Clearly, the second quarter was a bit weaker than the first. And some investors might be worried about that trend continuing. But even if financial performance were to revert back to what it was in prior years, shares of the company would still look attractively priced, as you will soon see. From a profitability perspective, the company also remains strong. In the first half of the year, net income came in at $57.7 million. That's almost double the $31.8 million generated in the first half of 2021. Operating cash flow did worsen, dropping from $83.7 million to negative $31.7 million. But if we adjust for changes in working capital, the metric would have increased from $48.5 million to $58.8 million. Meanwhile, EBITDA for the company also improved, climbing from $69.1 million to $83.2 million. Unfortunately, not everything is great on this front. In the second quarter alone, results did show some signs of pain. Yes, net income in the second quarter did climb to $30.6 million compared to the $24.1 million reported the same time last year. But operating cash flow dropped from $58.9 million to negative $14.3 million. Even if we adjust for changes in working capital, the metric would have worsened, declining from $29.8 million to $27.4 million. Meanwhile, EBITDA also declined, dropping from $41.3 million to $38.4 million. Author - SEC EDGAR Data Because of the weakness experienced in the second quarter of the year, I would be hesitant to extrapolate financial performance for the rest of the year. And management has not provided any detailed guidance on this front. Instead, I've decided to price the company based on results from 2021. Using that data, the company is trading at a price-to-earnings multiple of 2.2. The price to adjusted operating cash flow multiple is 1.7, while the EV to EBITDA multiple should come in at 3.7. These numbers compare favorably to the 11.6, the 4.2, and the 8.1, respectively, that we get using data from 2020. As part of my analysis, I also compared the company to five similar businesses. On a price-to-earnings basis, these companies range from a low of 3.7 to a high of 12.2. And when it comes to the price to operating cash flow approach, the ranges are from 3.2 to 8.3. In both cases, using our 2021 calculations, Lazydays Holdings is the cheapest of the group. When it comes to the EV to EBITDA approach, the range is between 3.3 and 7.8. And in this scenario, two of the five companies were cheaper than our prospect.
Seeking Alpha • Aug 03

Lazydays Q2 Earnings Preview

Lazydays (NASDAQ:LAZY) is scheduled to announce Q2 earnings results on Thursday, August 4th, before market open. The consensus EPS Estimate is $1.13 (-6.6% Y/Y) and the consensus Revenue Estimate is $373.63M (+15.8% Y/Y). Over the last 3 months, EPS estimates have seen 0 upward revisions and 0 downward. Revenue estimates have seen 1 upward revisions and 0 downward.

Aktieägarnas avkastning

GORVUS Specialty RetailUS Marknad
7D-43.8%-3.6%-0.9%
1Y-98.7%-13.1%14.2%

Avkastning vs industri: GORV presterade sämre än US Specialty Retail branschen som gav -13.1 % under det senaste året.

Avkastning vs Marknaden: GORV presterade sämre än US marknaden som gav 14.2 % under det senaste året.

Prisvolatilitet

Is GORV's price volatile compared to industry and market?
GORV volatility
GORV Average Weekly Movement25.7%
Specialty Retail Industry Average Movement7.3%
Market Average Movement6.9%
10% most volatile stocks in US Market15.3%
10% least volatile stocks in US Market2.9%

Stabil aktiekurs: GORV s aktiekurs har varit volatil under de senaste 3 månaderna jämfört med marknaden för US.

Volatilitet över tid: GORV s veckovolatilitet ( 26% ) har varit stabil under det senaste året, men är fortfarande högre än 75 % av US aktier.

Om företaget

GrundadAnställdaVD OCH KONCERNCHEFWebbplats
1976800Ron Flemingwww.lazydays.com

Lazydays Holdings, Inc, genom sina dotterbolag, driver och förvaltar återförsäljare av fritidsfordon under varumärket Lazydays i USA. Företaget säljer nya och begagnade fritidsfordon (RVs) samt tillhörande delar och tillbehör. Företaget erbjuder också reparation och service av husbilar samt ordnar finansiering och förlängda serviceavtal för husbilsförsäljning genom tredjepartsfinansieringskällor och leverantörer av förlängda garantier samt försäkringsprodukter.

Lazydays Holdings, Inc. Sammanfattning av grunderna

Hur förhåller sig Lazydays Holdings:s resultat och omsättning till dess börsvärde?
GORV grundläggande statistik
BörsvärdeUS$1.57m
Vinst(TTM)-US$213.68m
Intäkter(TTM)US$558.43m
0.0x
P/S-förhållande
0.0x
P/E-förhållande

Är GORV övervärderat?

Se Verkligt värde och värderingsanalys

Resultat & intäkter

Viktig lönsamhetsstatistik från den senaste resultatrapporten (TTM)
GORV resultaträkning (TTM)
IntäkterUS$558.43m
Kostnad för intäkterUS$430.45m
BruttovinstUS$127.98m
Övriga kostnaderUS$341.66m
Intäkter-US$213.68m

Senast redovisade vinst

Sep 30, 2025

Nästa vinstdatum

n/a

Vinst per aktie (EPS)-57.20
Bruttomarginal22.92%
Nettovinstmarginal-38.26%
Skuld/egenkapitalförhållande-957.6%

Hur har GORV utvecklats på lång sikt?

Se historisk utveckling och jämförelse

Företagsanalys och finansiella data Status

UppgifterSenast uppdaterad (UTC-tid)
Analys av företag2025/11/30 18:08
Aktiekurs vid dagens slut2025/11/26 00:00
Intäkter2025/09/30
Årlig intjäning2024/12/31

Datakällor

Den data som används i vår företagsanalys kommer från S&P Global Market Intelligence LLC. Följande data används i vår analysmodell för att generera denna rapport. Data är normaliserade vilket kan medföra en fördröjning från det att källan är tillgänglig.

PaketUppgifterTidsramExempel US-källa
Företagets finansiella ställning10 år
  • Resultaträkning
  • Kassaflödesanalys
  • Balansräkning
  • SEC Form 10-K
  • SEC Form 10-Q
Analytikernas konsensusuppskattningar+3 år
  • Prognos för finansiella poster
  • Analytikernas prismål
  • Rapporter från analytiker
  • Blue Matrix
Marknadspriser30 år
  • Aktiekurser
  • Utdelningar, splittar och åtgärder
  • ICE Marknadsdata
  • SEC Form S-1
Ägarskap10 år
  • Största aktieägare
  • Insiderhandel
  • SEC Formulär 4
  • SEC Formulär 13D
Förvaltning10 år
  • Ledningsgrupp
  • Styrelse och verkställande direktörer
  • SEC Form 10-K
  • SEC Form DEF 14A
Viktiga utvecklingstendenser10 år
  • Företagsmeddelanden
  • SEC Formulär 8-K

* Exempel för amerikanska värdepapper, för icke-amerikanska värdepapper används motsvarande regelverk och källor.

Om inget annat anges är all finansiell data baserad på en årsperiod men uppdateras kvartalsvis. Detta kallas data för efterföljande tolv månader (TTM) eller senaste tolv månader (LTM). Lär dig mer om detta.

Analysmodell och snöflinga

Detaljer om analysmodellen som används för att skapa den här rapporten finns på vår Github-sida, vi har också guider om hur du använder våra rapporter och handledningar på Youtube.

Lär dig mer om det som utformade och byggde analysmodellen Simply Wall St.

Industri- och sektormått

Våra bransch- och sektionsmått beräknas var sjätte timme av Simply Wall St, detaljer om vår process finns tillgängliga på Github.

Källor för analytiker

Lazydays Holdings, Inc. bevakas av 4 analytiker. 0 av dessa analytiker lämnade de uppskattningar av intäkter eller resultat som användes som indata till vår rapport. Analytikernas inskickade estimat uppdateras löpande under dagen.

AnalytikerInstitution
Robert LabickCJS Securities, Inc.
Steven DyerCraig-Hallum Capital Group LLC
Brandon RolléD.A. Davidson & Co.

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