It is best to consider a long-term outlook for a ticker by using Fundamental Analysis (FA) ratings. The rating of 1 to 100, where 1 is best and 100 is worst, is divided into thirds. The first third (a green rating of 1-33) indicates that the ticker is undervalued; the second third (a grey number between 34 and 66) means that the ticker is valued fairly; and the last third (red number of 67 to 100) reflects that the ticker is undervalued. We use an FA Score to show how many ratings show the ticker to be undervalued (green) or overvalued (red).
LANV’s FA Score shows that 0 FA rating(s) are green whileWOSGF’s FA Score has 1 green FA rating(s).
LANV (@Other Consumer Specialties) experienced а -1.27% price change this week, while WOSGF (@Other Consumer Specialties) price change was -2.54% for the same time period.
The average weekly price growth across all stocks in the @Other Consumer Specialties industry was -0.30%. For the same industry, the average monthly price growth was -3.55%, and the average quarterly price growth was -12.49%.
LANV is expected to report earnings on Nov 14, 2022.
‘Other Consumer Specialties’ represents an industry that typically sells durable consumer products, but do not have a classification in another category. The products include jewelry, smoke detectors, watches, collectibles and safety products. MSA Safety (makes products which enhances the safety and health of workers and protect facility infrastructures), Matthews International (memorialization business), Fitbit (makes wireless-enabled wearable technology devices that gauge data such as the number of steps walked, heart rate, quality of sleep), and Fossil Group (makes watches and accessories) have some of the largest market caps in this group.
LANV | WOSGF | LANV / WOSGF | |
Capitalization | 180M | 2.32B | 8% |
EBITDA | -179.54M | 264M | -68% |
Gain YTD | -47.119 | -36.761 | 128% |
P/E Ratio | N/A | 12.90 | - |
Revenue | 435M | 1.54B | 28% |
Total Cash | 30.8M | 136M | 23% |
Total Debt | 188M | 530M | 35% |
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A.I.dvisor tells us that LANV and BGI have been poorly correlated (+20% of the time) for the last year. This A.I.-generated data suggests there is low statistical probability that LANV and BGI's prices will move in lockstep.
Ticker / NAME | Correlation To LANV | 1D Price Change % | ||
---|---|---|---|---|
LANV | 100% | -1.89% | ||
BGI - LANV | 20% Poorly correlated | -10.81% | ||
LVMUY - LANV | 12% Poorly correlated | -0.91% | ||
WOSGF - LANV | 11% Poorly correlated | N/A | ||
HESAY - LANV | 11% Poorly correlated | -0.45% | ||
HESAF - LANV | 11% Poorly correlated | -0.43% | ||
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A.I.dvisor tells us that WOSGF and SWGAY have been poorly correlated (+15% of the time) for the last year. This A.I.-generated data suggests there is low statistical probability that WOSGF and SWGAY's prices will move in lockstep.
Ticker / NAME | Correlation To WOSGF | 1D Price Change % | ||
---|---|---|---|---|
WOSGF | 100% | N/A | ||
SWGAY - WOSGF | 15% Poorly correlated | -1.54% | ||
PPRUY - WOSGF | 14% Poorly correlated | -3.70% | ||
SWGNF - WOSGF | 13% Poorly correlated | N/A | ||
LANV - WOSGF | 11% Poorly correlated | -1.89% | ||
BRLT - WOSGF | 7% Poorly correlated | +2.48% | ||
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