Ralph Lauren Corporation RL
Composite 63/100; the shares have moved about 40% annualised. Names that move more contribute more risk for the same amount invested, and our composite reflects how strong the evidence for this one is right now.
Momentum ranks 44/100 — a slight mark against it.
Quality ranks 79/100 — a strong point in its favour. Balance-sheet strength ranks 75/100 — a strong point in its favour. Growth ranks 65/100 — a moderate point in its favour.
Momentum ranks 44/100 — a slight mark against it. Valuation ranks 47/100 — a slight mark against it. Income ranks 48/100 — a slight mark against it.
What the company does Ralph Lauren Corporation designs, markets, and distributes lifestyle products globally, including apparel, footwear, accessories, home products, and fragrances under brands such as Polo Ralph Lauren and Ralph Lauren Collection.
Key financials The company reports strong profitability with ROE 37.5%, ROA 11.0%, and ROCE 21.5%. Gross margin is 70.3%, operating margin 18.4%, and net margin 11.8%. Revenue growth is 14.6%, EPS growth 30.1%, and FCF yield 4.4%.
Stock health Sideravia scores RL Overall 62.0 (Strong quality, fairly valued) with Quality 79.5 and Strength 74.5. Piotroski F-Score is 8/9, Altman Z 6.05, and interest coverage 22.32. Current ratio is 2.04, debt/equity 1.10.
Price vs fair value The stock trades at a discount of 32.80% versus the analyst mean target of 446.71. - Down 11.6% in 4 weeks, here's why RL looks ripe for a turnaround (Seeking Alpha) - RL stock looks fairly priced with cash flow support and richer earnings (Zacks) - Is Ralph Lauren's AI strategy enhancing customer experience? (Forbes)
Looking forward Forward P/E is 18.69 and PEG 1.00, suggesting earnings growth is priced reasonably. The 12-month return is 9.36% but -19.99% below the 52-week high, with RSI(14) at 25.30 indicating oversold conditions.
This is not investment advice. Sideravia provides automated, data-driven analysis for information and education only. Nothing on this page is a personal recommendation or an invitation to buy or sell any security, and it does not consider your objectives or financial situation. Assessments are generated by rules applied uniformly to every covered stock — how our scores work.
Data as of 2026-09-05, compiled from third-party sources; errors and delays are possible and figures are not warranted. Investing puts your capital at risk; past performance does not predict future results. We publish our full track record, including the calls that lost, and our conflicts of interest.