1.300USD-1.52%Mkt Cap: 150.76M USDP/E: —Last update: 2026-05-26
Playboy, Inc. operates as a pleasure and leisure company in the United States, Australia, China, the United Kingdom, and internationally. The company operates through two segments: Direct-to-Consumer and Licensing. It of…
Industry Peers
LeisureIndicators:|
Key Statistics
Company
Market Cap150.76M USD
Enterprise Value298.00M USD
Revenue (TTM)122.29M USD
Gross Profit85.85M USD
Net Income (TTM)-12.67M USD
Revenue/Share1.158 USD
Last Price1.300 USD
Fiscal Year EndDec 2025
MR QuarterMar 2026
Employees199
CountryUS
SectorConsumer Cyclical
IndustryLeisure
ISIN—
Valuation
P/E (Trailing)—
P/E (Forward)32.25
PEG2.28
EV/EBITDA191.51
EV/Revenue2.44
P/S1.22
P/B7.91
EPS (TTM)-0.06
EPS (Forward)0.04
52W Range
1.1857% of range2.750
52W High2.750 USD
52W Low1.185 USD
Profitability
Gross Margin70.99%
Oper. Margin-5.43%
EBITDA Margin1.27%
Profit Margin-10.48%
ROE-68.96%
ROA-4.33%
Growth
Revenue Growth4.70%
Earnings Growth—
Cash Flow & Leverage
Operating CF18.00K USD
CapEx (TTM)1.02M USD
FCF Margin2.83%
FCF Yield2.30%
Net Debt147.81M USD
Net Debt/EBITDA94.99
Balance Sheet
Debt/Equity10.69
Current Ratio1.00
Quick Ratio0.57
Book Value/Sh0.1630 USD
Cash/Share0.2600 USD
Dividends
Fwd Div Rate—
Trail. Div Rate0.0000 USD
Div. Yield—
5Y Avg Yield—
Payout Ratio0.00%
Ex-Div Date—
Pay Date—
Analyst Consensus
Rating1.7 (Buy)
Target (Mean)2.833 USD
Target Range1.500 USD – 4.000 USD
# Analysts3
Ownership
Shares Out.115.97M
Float61.01M
Insiders20.28%
Institutions46.52%
Short Interest
Short Ratio2.0d
Short % Float2.37%
Short % Out.1.28%
Shares Short1.47M
Short (prev mo.)1.58M
Technical
SMA 501.636 (-20.5%)
SMA 2001.694 (-23.2%)
Beta—
S&P 52W Chg28.31%
Avg Vol (30d)1.06M
Avg Vol (10d)1.56M
Technical Indicators
RSI (14)—
MACD—
MACD Signal—
MACD Hist.—
BB Upper—
BB Middle—
BB Lower—
BB Width—
ATR (14)—
Vol Ratio (20d)—