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Lanvin Group Holdings LimitedNYSE:LANV Stok Raporu

Piyasa Değeri US$181.3m
Hisse Fiyatı
US$1.70
US$1.49
14.0% aşırı değerlenmiş içsel indirim
1Y-22.7%
7D3.7%
Portföy Değeri
Görünüm

Lanvin Group Holdings Limited

NYSE:LANV Stok Raporu

Piyasa değeri: US$181.3m

Lanvin Group Holdings (LANV) Hisse Özeti

Lanvin Group Holdings Limited, Avrupa, Orta Doğu, Afrika, Kuzey Amerika, Büyük Çin ve diğer Asya ülkelerinde erkekler ve kadınlar için bir couture evi olarak faaliyet göstermektedir. Daha fazla detay

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Lanvin Group Holdings Limited Rakipler

Fiyat Geçmişi ve Performans

Hisse fiyatlarındaki yükseliş, düşüş ve değişimlerin özeti Lanvin Group Holdings
Tarihsel hisse senedi fiyatları
Güncel Hisse FiyatıUS$1.70
52 Haftanın En Yüksek SeviyesiUS$2.62
52 Haftanın En Düşük SeviyesiUS$1.03
Beta-0.17
1 Aylık Değişim2.10%
3 Aylık Değişim12.58%
1 Yıllık Değişim-22.73%
3 Yıllık Değişim-67.24%
5 Yıllık Değişim-82.42%
Halka arzdan bu yana değişim-82.74%

Son Haberler & Güncellemeler

Analiz Makalesi Feb 10

Lanvin Group Holdings Limited (NYSE:LANV) May Have Run Too Fast Too Soon With Recent 41% Price Plummet

The Lanvin Group Holdings Limited ( NYSE:LANV ) share price has fared very poorly over the last month, falling by a...

Recent updates

Analiz Makalesi Feb 10

Lanvin Group Holdings Limited (NYSE:LANV) May Have Run Too Fast Too Soon With Recent 41% Price Plummet

The Lanvin Group Holdings Limited ( NYSE:LANV ) share price has fared very poorly over the last month, falling by a...
Analiz Makalesi Dec 17

Lanvin Group Holdings Limited's (NYSE:LANV) Share Price Could Signal Some Risk

With a median price-to-sales (or "P/S") ratio of close to 0.8x in the Luxury industry in the United States, you could...
Analiz Makalesi Aug 22

Lanvin Group Holdings Limited (NYSE:LANV) Doing What It Can To Lift Shares

There wouldn't be many who think Lanvin Group Holdings Limited's ( NYSE:LANV ) price-to-sales (or "P/S") ratio of 0.6x...
User avatar
Yeni Anlatı May 04

Operational Hurdles And Brand Shifts Will Reshape Luxury Market Appeal

Revenue decline due to saturated luxury markets and creative transitions may hinder revenue growth and market positioning.
Analiz Makalesi Jun 22

Lanvin Group Holdings Limited's (NYSE:LANV) P/S Is Still On The Mark Following 39% Share Price Bounce

Lanvin Group Holdings Limited ( NYSE:LANV ) shares have continued their recent momentum with a 39% gain in the last...
Analiz Makalesi May 02

Investors Appear Satisfied With Lanvin Group Holdings Limited's (NYSE:LANV) Prospects As Shares Rocket 33%

Those holding Lanvin Group Holdings Limited ( NYSE:LANV ) shares would be relieved that the share price has rebounded...
Analiz Makalesi May 02

Lanvin Group Holdings Limited's (NYSE:LANV) 33% Jump Shows Its Popularity With Investors

Those holding Lanvin Group Holdings Limited ( NYSE:LANV ) shares would be relieved that the share price has rebounded...
Seeking Alpha Feb 23

Lanvin Business Stagnates In 2023

Summary Luxury fashion brand operator Lanvin Group Holdings recorded just 1% revenue growth last year to 426 euros. A slowdown in the global luxury market has been pressuring brand operators across the spectrum as they grapple with subdued consumer spending and sales that have failed to return to pre-pandemic levels. Lanvin’s shares rose 6.4% the day of the announcement but gave back most of those gains the next day. Read the full article on Seeking Alpha
Seeking Alpha Feb 17

Lanvin Group Holdings reports FY results

Lanvin Group Holdings press release (NYSE:LANV): FY all portfolio brands delivered growth, with flagship brand Lanvin growing 67% Y/Y. Revenue of $425M, a 38% increase Y/Y versus 2021 and a 25% increase Y/Y versus 2021 on a pro forma basis assuming Sergio Rossi's full-year revenue results were included in 2021. Successful delivery of omni-channel strategies drove a 42% increase in global Wholesale and a 35% increase in DTC sales. Ongoing implementation of strategic plans in 2023 to drive further revenue growth and margin improvement.
Seeking Alpha Jan 09

Newly Listed Lanvin Leaves Investors Blowing Hot And Cold

Summary Big volatility in Lanvin’s shares since its SPAC listing last month reflects the many uncertainties hanging over the company. The volatility is likely to continue until some of the uncertainties become clearer, including the state of China’s luxury market and financial condition of Lavin’s struggling Chinese parent. The newly listed Lanvin is still very much a work in progress and investors are probably trying to figure out how the company could develop over the mid to longer term. Once investor darlings, luxury goods companies with an emphasis on China have become just the opposite these days. Last week we reported on the latest woes at Secoo (SECO), whose stock once soared on its billing as China's biggest luxury e-commerce company, but now trades at a tiny fraction of its IPO price. Now, the newly listed Lanvin Group Holdings Ltd. (LANV) is suffering a similar fate following its mid-December trading debut. Lanvin's shares have been all over the map since it completed its backdoor listing using a special purpose acquisition company (SPAC) and began trading under the LANV symbol on Dec. 16. Its shares closed that day at $10, the same as the January 2021 IPO price for its SPAC acquirer, Primavera Capital Acquisition Corp. The stock then moved steadily downward, losing more than half its value five days later when it closed at $4.51. But then it staged a comeback over the next four days and returned to as high as $9.12, before sagging again to its latest close of $6.10. The huge volatility isn't completely unexpected for such a newcomer, since Lanvin has only given out limited financial data so far and probably won't give its first complete financial report until February or March. But the huge volatility also probably reflects investor ambivalence about Lanvin's story which is heavily tied to China, a former luxury goods rising star that has fallen on hard times due to strict pandemic controls that have killed consumption. Somewhat ironically, Lanvin's latest plunge comes just as China finally reopened its borders on Sunday after nearly three years of near closure. Perhaps some are now worried that Chinese consumers will embark on a wave of "revenge international luxury spending" in other countries now that they can travel freely again. But truth be told, increased spending by Chinese consumers anywhere should benefit Lanvin, which is Chinese-owned but whose brands are all western. The company is the baby of Chinese financial conglomerate Fosun, whose Hong Kong-listed Fosun International (FOSUF) (0656.HK) owns 65% of Lanvin's shares after the SPAC merger. The company owns five major brands acquired by Fosun over the last few years. Besides Lanvin, those include Austrian skinwear brand Wolford; Italian luxury shoemaker Sergio Rossi; American womenswear brand St. John Knits; and Italian menswear maker Caruso. Of the five brands, Lanvin accounted for about a third of the company's sales in the first half of this year, while Wolford was the second largest contributor with about one-quarter of the total. The company posted 202 million euros ($215 million) in revenue in the first half of last year, up 73% from a year earlier, on strong growth in Europe and North America. Lanvin is losing money, though it hasn't disclosed the size of its losses in the limited financial materials provided to date. Chairman Joann Cheng has promised to break even by sometime next year. Problematic China Fosun is a big proponent of a strategy of bringing big global brands to China to tap local demand for world-class names. Its Fosun Tourism (FSNGF) (1992.HK) had such a goal in mind with its 2015 acquisition of Club Med, aiming to bring the French company's signature resorts to China. It also acquired the renowned Cirque de Soleil performance franchise with a similar aim. The records for both of those companies in China have been spotty at best, in no small part because of China's strict pandemic control measures that have discouraged travel and killed consumer demand for this kind of leisure spending over the last three years. That said, one would think China's lifting of most restrictions starting in early December might provide a lift to stocks like Lanvin in hopes of a new wave of Chinese spending. But the huge gyration in Lanvin's stock seems to indicate investors are still undecided. Prior to the completion of its SPAC merger, Fosun estimated Lanvin's valuation at $1 billion in November, revising the figure down from a previous $1.25 billion on factors including currency depreciation and valuation of its peers. At its latest close, the company is worth about $800 million, far less than the earlier forecasts. The latest close also values Lanvin well below other big global names. Its current price-to-sales (P/S) ratio stands at just 1.9, compared with a 3.1 for Kering (PPRUF) (KER.PA) and 4.8 for LVMH (LVMHF) (MC.PA). Part of the discount probably owes to Lanvin's loss-making status, since the other two companies are both quite profitable. Another concern could stem from financial woes for Lanvin parent Fosun, which is currently struggling under a huge debt load and could be in danger of default. Then there's also the China luxury market, which we've noted several times already is struggling these days. The country was once the star of an annual global luxury goods report from Bain, thanks to Chinese consumers' healthy appetite for expensive handbags, luxury watches, and other such goods. But in the report's 2022 edition, Bain noted that while China remains crucial to the market over the long term, it "continues to confront a challenging phase due to Covid lockdowns and is still performing below 2021 figures."

Hissedar Getirileri

LANVUS LuxuryUS Pazar
7D3.7%3.1%-0.3%
1Y-22.7%-15.1%26.7%

Getiri vs. Endüstri: LANV geçen yıl % -15.1 oranında getiri sağlayan US Luxury sektörünün gerisinde kaldı.

Getiri vs Piyasa: LANV geçen yıl % 26.7 oranında getiri sağlayan US Piyasasının altında performans gösterdi.

Fiyat Oynaklığı

Is LANV's price volatile compared to industry and market?
LANV volatility
LANV Average Weekly Movement10.6%
Luxury Industry Average Movement6.7%
Market Average Movement7.2%
10% most volatile stocks in US Market16.2%
10% least volatile stocks in US Market3.2%

İstikrarlı Hisse Senedi Fiyatı: LANV son 3 ayda US piyasasına kıyasla önemli bir fiyat oynaklığı yaşamadı.

Zaman İçindeki Volatilite: LANV 'nin haftalık oynaklığı ( 11% ) son bir yıldır istikrarlı seyretti.

Şirket Hakkında

KurulduÇalışanlarCEOWeb sitesi
18892,406Andy S. Lewwww.lanvin-group.com

Lanvin Group Holdings Limited, Avrupa, Orta Doğu, Afrika, Kuzey Amerika, Büyük Çin ve diğer Asya ülkelerinde erkekler ve kadınlar için bir couture evi olarak faaliyet göstermektedir. Lanvin, Wolford, St. John, Sergio Rossi ve Diğer ve Holding Şirketleri segmentleri aracılığıyla faaliyet göstermektedir. Şirket, body, üst, pantolon, elbise, etek, tulum, ceket ve hırkadan oluşan hazır giyim ürünleri; hazır giyim ürünleri; spor ayakkabı dahil ayakkabı; deri ürünler; kostüm takıları; eşarp, şapka, kemer, kravat, kol manşetleri ve diğer ürünler gibi küçük aksesuarlar; gözlük; çocuk giyim; ve çorap, çorap ve tozluk dahil bacak giyim; iç çamaşırı, plaj giyim ve athleisure giyim sunmaktadır.

Lanvin Group Holdings Limited Temel Bilgiler Özeti

Lanvin Group Holdings'un kazançları ve gelirleri piyasa değeriyle nasıl karşılaştırılır?
LANV temel i̇stati̇sti̇kler
Piyasa değeriUS$181.26m
Kazançlar(TTM)-US$263.42m
Gelir(TTM)US$279.68m
0.7x
P/S Oranı
-0.8x
F/K Oranı

Kazanç ve Gelir

En son kazanç raporundan temel karlılık istatistikleri (TTM)
LANV gelir tablosu (TTM)
Gelir€240.50m
Gelir Maliyeti€100.62m
Brüt Kâr€139.88m
Diğer Giderler€366.39m
Kazançlar-€226.51m

Son Raporlanan Kazançlar

Dec 31, 2025

Sonraki Kazanç Tarihi

n/a

Hisse başına kazanç (EPS)-1.94
Brüt Marj58.16%
Net Kâr Marjı-94.18%
Borç/Özkaynak Oranı-133.3%

LANV uzun vadede nasıl bir performans gösterdi?

Geçmiş performansı ve karşılaştırmayı görün

Şirket Analizi ve Finansal Veri Durumu

VeriSon Güncelleme (UTC saati)
Şirket Analizi2026/05/20 12:46
Gün Sonu Hisse Fiyatı2026/05/20 00:00
Kazançlar2025/12/31
Yıllık Kazançlar2025/12/31

Veri Kaynakları

Şirket analizimizde kullanılan veriler S&P Global Market Intelligence LLC'den alınmıştır. Bu raporu oluşturmak için analiz modelimizde aşağıdaki veriler kullanılmıştır. Veriler normalize edilmiştir, bu da kaynağın mevcut olmasından kaynaklanan bir gecikmeye neden olabilir.

PaketVeriZaman ÇerçevesiÖrnek ABD Kaynağı *
Şirket Finansalları10 yıl
  • Gelir tablosu
  • Nakit akış tablosu
  • Bilanço
Analist Konsensüs Tahminleri+3 yıl
  • Finansal tahminler
  • Analist fiyat hedefleri
Piyasa Fiyatları30 yıl
  • Hisse senedi fiyatları
  • Temettüler, Bölünmeler ve Eylemler
Sahiplik10 yıl
  • En büyük hissedarlar
  • İçeriden öğrenenlerin ticareti
Yönetim10 yıl
  • Liderlik ekibi
  • Yönetim Kurulu
Önemli Gelişmeler10 yıl
  • Şirket duyuruları

* ABD menkul kıymetleri için örnek, ABD dışı için eşdeğer düzenleyici formlar ve kaynaklar kullanılmıştır.

Belirtilmediği sürece tüm finansal veriler yıllık bir döneme dayanmaktadır ancak üç ayda bir güncellenmektedir. Bu, İzleyen On İki Ay (TTM) veya Son On İki Ay (LTM) Verileri olarak bilinir. Daha fazla bilgi edinin.

Analiz Modeli ve Kar Tanesi

Bu raporu oluşturmak için kullanılan analiz modelinin ayrıntılarına GitHub sayfamızdan ulaşabilirsiniz, ayrıca raporlarımızı nasıl kullanacağınızı anlatan kılavuzlarımız ve Youtube'da eğitim videolarımız da bulunmaktadır.

Simply Wall St analiz modelini tasarlayan ve oluşturan dünya standartlarındaki ekip hakkında bilgi edinin.

Endüstri ve Sektör Metrikleri

Sektör ve bölüm metriklerimiz Simply Wall St tarafından her 6 saatte bir hesaplanmaktadır, sürecimizin ayrıntıları Github'da mevcuttur.

Analist Kaynakları

Lanvin Group Holdings Limited 1 Bu analistlerden 1, raporumuzun girdisi olarak kullanılan gelir veya kazanç tahminlerini sunmuştur. Analistlerin gönderimleri gün boyunca güncellenmektedir.

AnalistKurum
Jeremy GarnierODDO BHF Corporate & Markets