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LANVLANV

$1.77

+0.07
arrow_drop_up4.12%
Current Market·update15 Jan 2026 15:30
Day's Range
1.7-1.83
52-week Range
1.42-2.69

Chart

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Performance

Key Stats

Next Earnings Date
Next Earnings TimeUnknown
Volume16.78K
Average Volume 30d34.86K

AI LANV Summary

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0.8
Valuation (P/S Ratio)
Potentially undervalued based on sales
📉
-23.38
Revenue Growth (YoY)
Declining revenue trend
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AI Scoreboard

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Overall Analysis

Hold
55

Lanvin Group Holdings Limited presents a mixed investment profile. While it operates in the luxury goods sector with potential for brand resilience, its recent financial performance shows significant losses and negative free cash flow. Technical indicators are mixed, suggesting a holding pattern rather than a strong buy or sell.

Neutral

Thematic

65

Lanvin Group operates within the luxury fashion industry, which can be resilient during economic downturns due to its affluent customer base. However, the sector is susceptible to discretionary spending shifts and intense competition. The company's diversified brand portfolio (Lanvin, Wolford, Sergio Rossi, St. John, Caruso) could offer some stability, but the overall theme is neutral given current performance.

Weak

Fundamental

40

Lanvin Group exhibits weak fundamental performance, characterized by significant net losses, negative free cash flow, and a concerning debt-to-equity position relative to its equity. The company's valuation metrics also appear unfavorable given its profitability.

Neutral

Technical

50

Technical indicators for Lanvin Group Holdings Limited are mixed. The stock is trading below its moving averages, suggesting a bearish short-to-medium term trend. However, some oscillators are in oversold territory, which could signal a potential for a bounce, but overall momentum is weak.

FactorScore
Luxury Goods Market Resilience70
Brand Diversification65
Geographic Exposure60
E-commerce and Digitalization55
Sustainability and ESG60
FactorScore
Valuation40
Profitability10
Growth20
Balance Sheet Health5
Cash Flow15
FactorScore
Trend Analysis30
Momentum45
Oscillators55
Volume40
Support/Resistance50

AI Investing Checklist

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Bullish Points (7)

Market Performance chevron_right

Positive Short-Term Performance

The stock has shown positive performance over the last 1 month (+12.75%) and year-to-date (+15.58%).

Market Performance chevron_right

Strong Long-Term Performance

The stock has demonstrated significant year-over-year performance of +47.44%.

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Bearish Points (10)

Earnings Performance chevron_right

Significant Net Losses

The company has incurred substantial net losses in recent years, with net income being -$165.255 million in Q4 2024, -$129.313 million in Q4 2023, and -$218.290 million in Q4 2022.

Profitability chevron_right

Negative Net Margin

The net margin is significantly negative across the reported periods (-50.3% in Q4 2024, -30.3% in Q4 2023, -51.7% in Q4 2022), indicating poor profitability.

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Calendar

April 2025

30

Next Earnings Date

EPS Est.
Revenue Est.

H: $

A: $

L: $

Profile

Employees (FY)2.41K
ISINKYG5380J1004
FIGI-

Lanvin Group Holdings Limited operates as a couture house for men and women in Europe, the Middle East, Africa, North America, Greater China, and other Asian countries. It operates through Lanvin, Wolford, Caruso, St. John, Sergio Rossi, and Other and Holding Companies segments. The company offers ready-to-wear products comprising bodysuits, tops, trousers, dresses, skirts, jumpsuits, jackets, and cardigans; made-to-measure products; footwear, including sneakers; leather goods; costume jewelry; small accessories, such as scarves, hats, belts, ties, sleeve cuffs, caps, gloves, collars, care masks, silk and handbags, and other item; eyewear; childrenswear; legwear, including stockings, socks, and leggings; lingerie, beachwear, and athleisure wear; outerwear, knits, shirts, and bottoms; gowns, suiting, cocktail dresses, and separates; and leisurewear and formalwear. It sells its products under the Lanvin, Wolford, Sergio Rossi, St. John, and Caruso brands. The company was founded in 1889 and is based in Shanghai, China. Lanvin Group Holdings Limited is a subsidiary of Fosun International Limited.

Seasonals

2025
2024
2023
2022
2021

Price Target

1.55 USD

The 39 analysts offering 1 year price forecasts for LANV have a max estimate of 1.55 and a min estimate of 1.55.

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
26.6M (21.09%)
Closely held shares
99.4M (78.91%)
126M
Free Float shares
26.6M (21.09%)
Closely held shares
99.4M (78.91%)

Capital Structure

Market cap
289.73M
Debt
337.83M
Minority interest
0.00
Cash & equivalents
18.04M
Enterprise value
609.52M

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
328.61M
COGS
145.85M
Gross Profit
182.76M
OpEx
318.13M
Operating Income
-135.36M
Other & Taxes
29.89M
Net Income
-165.25M

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow