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Playboy, Inc. (PLBY)

NASDAQ Consumer Cyclical Leisure
$1.26 ▼ -6.99%
Market Cap
$146.7M
Sector
Consumer Cyclical
Industry
Leisure
Beta
1.92
52-Wk Range
1.081-2.75
CEO
Ben Kohn
Country
US
Currency
USD

Playboy, Inc. operates in the Leisure industry of the Consumer Cyclical sector, headquartered in Los Angeles, CA, US. The stock last traded at $1.26, down 6.99% on the session, giving a market capitalisation of $146.7M. On trailing twelve-month figures it carries a trailing P/E of 47.03, a net margin of 0.2%. Its beta of 1.92 implies it has historically moved more than the broad market.

Valuation & profitability (TTM)
P/E
47.03
Price / Sales
1.17
Price / Book
6.58
EV / EBITDA
8.99
Gross margin
72.7%
Operating margin
4.6%
Net margin
0.2%
Return on equity
Debt / equity
0.97
Current ratio
0.79
Dividend yield
0.0%
Payout ratio
0.0%
Company profile
Exchange
NASDAQ Global Market
Employees
588
IPO date
2020-08-31
Headquarters
Los Angeles, CA, US
About Playboy, Inc.

Playboy, Inc. operates as a leading media and lifestyle enterprise. It engages consumers globally, providing an array of products, services, and experiences aimed at enhancing their appearance, fostering well-being, and promoting enjoyment. The firm addresses several key market segments, including Sexual Wellness, Style & Apparel, Gaming & Lifestyle, and Beauty & Grooming. Central to its offerings is its iconic consumer brand, Playboy, which produces a men's magazine celebrated for its focus on stunning photography, engaging entertainment, clever humor, and captivating cartoons, alongside articles delving into current affairs and trends. Founded in 1953, the company's main office is located in Los Angeles, California.

Comparable companies

Playboy, Inc. is most often compared with the following Consumer Cyclical names:

AKACJETCLARCOOKFNKOFOSLGDHGNOMASNBRVRM
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