
LANV Valuation
Lanvin Group Holdings Ltd
LANV Relative Valuation
LANV's fair value is calculated using relative valuation, based on historical P/E and P/S ranges and their premiums/discounts relative to a competitor average, adjusted by weights. If the market price exceeds this fair value range, LANV is overvalued; if below, it's undervalued.
Historical Valuation
Lanvin Group Holdings Ltd (LANV) is now in the Undervalued zone, suggesting that its current forward PS ratio of 1.76 is considered Undervalued compared with the five-year average of -2.97. The fair price of Lanvin Group Holdings Ltd (LANV) is between 4.40 to 4.74 according to relative valuation methord. Compared to the current price of 2.09 USD , Lanvin Group Holdings Ltd is Undervalued By 52.45%.
Relative Value
Fair Zone
4.40-4.74
Current Price:2.09
52.45%
Undervalued
-2.04
PE
1Y
3Y
5Y
Trailing
Forward
-6.47
EV/EBITDA
Lanvin Group Holdings Ltd. (LANV) has a current EV/EBITDA of -6.47. The 5-year average EV/EBITDA is -8.51. The thresholds are as follows: Strongly Undervalued below -26.55, Undervalued between -26.55 and -17.53, Fairly Valued between 0.51 and -17.53, Overvalued between 0.51 and 9.53, and Strongly Overvalued above 9.53. The current Forward EV/EBITDA of -6.47 falls within the Historic Trend Line -Fairly Valued range.
4.24
EV/EBIT
Lanvin Group Holdings Ltd. (LANV) has a current EV/EBIT of 4.24. The 5-year average EV/EBIT is -4.87. The thresholds are as follows: Strongly Undervalued below -17.30, Undervalued between -17.30 and -11.08, Fairly Valued between 1.35 and -11.08, Overvalued between 1.35 and 7.56, and Strongly Overvalued above 7.56. The current Forward EV/EBIT of 4.24 falls within the Overvalued range.
1.76
PS
Lanvin Group Holdings Ltd. (LANV) has a current PS of 1.76. The 5-year average PS is 1.22. The thresholds are as follows: Strongly Undervalued below -2.22, Undervalued between -2.22 and -0.50, Fairly Valued between 2.93 and -0.50, Overvalued between 2.93 and 4.65, and Strongly Overvalued above 4.65. The current Forward PS of 1.76 falls within the Historic Trend Line -Fairly Valued range.
-1.60
P/OCF
Lanvin Group Holdings Ltd. (LANV) has a current P/OCF of -1.60. The 5-year average P/OCF is -0.48. The thresholds are as follows: Strongly Undervalued below -2.48, Undervalued between -2.48 and -1.48, Fairly Valued between 0.53 and -1.48, Overvalued between 0.53 and 1.53, and Strongly Overvalued above 1.53. The current Forward P/OCF of -1.60 falls within the Undervalued range.
-1.58
P/FCF
Lanvin Group Holdings Ltd. (LANV) has a current P/FCF of -1.58. The 5-year average P/FCF is -0.42. The thresholds are as follows: Strongly Undervalued below -2.22, Undervalued between -2.22 and -1.32, Fairly Valued between 0.47 and -1.32, Overvalued between 0.47 and 1.37, and Strongly Overvalued above 1.37. The current Forward P/FCF of -1.58 falls within the Undervalued range.
Lanvin Group Holdings Ltd (LANV) has a current Price-to-Book (P/B) ratio of -2.42. Compared to its 3-year average P/B ratio of -2.44 , the current P/B ratio is approximately -0.69% higher. Relative to its 5-year average P/B ratio of 2.26, the current P/B ratio is about -206.95% higher. Lanvin Group Holdings Ltd (LANV) has a Forward Free Cash Flow (FCF) yield of approximately -49.88%. Compared to its 3-year average FCF yield of -29.07%, the current FCF yield is approximately 71.56% lower. Relative to its 5-year average FCF yield of -26.67% , the current FCF yield is about 86.98% lower.
-2.42
P/B
Median3y
-2.44
Median5y
2.26
-49.88
FCF Yield
Median3y
-29.07
Median5y
-26.67
Competitors Valuation Multiple
The average P/S ratio for LANV's competitors is 14.46, providing a benchmark for relative valuation. Lanvin Group Holdings Ltd Corp (LANV) exhibits a P/S ratio of 1.76, which is -87.82% above the industry average. Given its robust revenue growth of %, this premium appears unsustainable.
P/S
P/E
EV/EBITDA
EV/EBIT
P/S
Revenue Growth
Market Cap
Performance Decomposition
1Y
3Y
5Y
Market capitalization of LANV increased by 0.00% over the past 1 year. The primary factor behind the change was an decrease in Unknown from 0.00 to 0.00.
The secondary factor is the Unknown, contributed 0.00%to the performance.
Overall, the performance of LANV in the past 1 year is driven by Unknown.
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FAQ
Is Lanvin Group Holdings Ltd (LANV) currently overvalued or undervalued?
Lanvin Group Holdings Ltd (LANV) is now in the Undervalued zone, suggesting that its current forward PS ratio of 1.76 is considered Undervalued compared with the five-year average of -2.97. The fair price of Lanvin Group Holdings Ltd (LANV) is between 4.40 to 4.74 according to relative valuation methord. Compared to the current price of 2.09 USD , Lanvin Group Holdings Ltd is Undervalued By 52.45% .








