Fossil Group Inc

Fossil Group Inc(FOSL)股票分析

$5.350

-0.030 (-0.56%)收盘时

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High
5.410
Open
5.400
VWAP
5.32
Vol
417.90K
Mkt Cap
79.40M
Low
5.210
Amount
2.22M
EV/EBITDA, TTM
11.85

Fossil Group, Inc. is a global design, marketing, distribution and innovation company specializing in lifestyle accessories. The Company has a diverse portfolio of owned and licensed brands, which offers watches, jewelry, handbags, small leather goods, belts and sunglasses. Its segments include the Americas, Europe, and Asia. The Americas segment includes sales to customers based in Canada, Latin America and the United States. The Europe segment includes sales to customers based in European countries, the Middle East and Africa. The Asia segment includes sales to customers based in Australia, greater China, India, Indonesia, Japan, Malaysia, New Zealand, Singapore, South Korea and Thailand. Its owned brands include Fossil, Michele, Relic, Skagen and Zodiac, and licensed brands, Armani Exchange, Diesel, Emporio Armani, kate spade new york, Michael Kors, and Tory Burch. Its products are sold through department stores, specialty retailers, and commercial Websites worldwide.

AI analysis of Fossil Group Inc (FOSL)

buy

Fossil Group Inc is a good buy right now due to its current price of $5.35, which is significantly below analyst price targets of $7 and $8. The recent gross margin of 62.4% shows a strong improvement of 490 basis points year-over-year, indicating effective cost management and pricing strategies. However, the main risk is its negative net income, which was -10.63 million USD in Q2 2026, reflecting ongoing profitability challenges that investors should consider.

Analyst Ratings (11)

-6.54% downside
Hold
1 Buy
7 Hold
3 Sell
Current: 5.35
最低
5.00
平均
5.00
最高
5.00

Northland

2026-08-13

目标价

$8

Outperform

Maxim

2026-03-12

目标价

$7

Buy

Northland

2026-02-19

目标价

$7

Outperform

Maxim

2025-07-01

目标价

$5

Buy

估值指标

The current forward P/E ratio for Fossil Group Inc (FOSL) is 166.67, compared to its 5-year average forward P/E of 27.71.

Forward P/E

Overvalued
5Y Average P/E
27.71
Current P/E
166.67
高估
111.14
低估
-55.72

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
-95.19
Current EV/EBITDA
11.85
高估
117.19
低估
-307.58

Forward P/S

Overvalued
5Y Average P/S
0.13
Current P/S
0.33
高估
0.28
低估
-0.02

Whales holding FOSL

N

Nantahala Capital Management, LLC

+ HoldingFOSL

+9.23%

3M Return

事件时间线

2026-08-12 (ET)

17:30:00

Company Raises FY26 Adjusted Operating Margin Outlook to 4%-6%

17:30:00

Company Reports Q2 Revenue of $209.7M, Beating Expectations

2026-05-13 (ET)

16:50:00

Company Reports Q1 Revenue of $224.8M, Down Year-over-Year

16:50:00

Company Sees FY26 Adjusted Operating Margin of 3%-5%

2026-04-29 (ET)

09:20:00

InMobi Officially Launches Ad Experiences, FOSSIL as First Brand Partner

资讯

FOSL FAQ — answered by Alphio AI

Fossil Group, Inc. is a global design, marketing, distribution and innovation company specializing in lifestyle accessories. The Company has a diverse portfolio of owned and licensed brands, which offers watches, jewelry, handbags, small leather goods, belts and sunglasses. Its segments include the Americas, Europe, and Asia. The Americas segment includes sales to customers based in Canada, Latin America and the United States. The Europe segment includes sales to customers based in European countries, the Middle East and Africa. The Asia segment includes sales to customers based in Australia, greater China, India, Indonesia, Japan, Malaysia, New Zealand, Singapore, South Korea and Thailand. Its owned brands include Fossil, Michele, Relic, Skagen and Zodiac, and licensed brands, Armani Exchange, Diesel, Emporio Armani, kate spade new york, Michael Kors, and Tory Burch. Its products are sold through department stores, specialty retailers, and commercial Websites worldwide. It operates in the Consumer Cyclicals sector (WATCHES, CLOCKS, CLOCKWORK OPERATED DEVICES/PARTS industry).

Fossil Group Inc is a good buy right now due to its current price of $5.35, which is significantly below analyst price targets of $7 and $8. The recent gross margin of 62.4% shows a strong improvement of 490 basis points year-over-year, indicating effective cost management and pricing strategies. However, the main risk is its negative net income, which was -10.63 million USD in Q2 2026, reflecting ongoing profitability challenges that investors should consider.

11 analysts cover FOSL: 1 rate it Buy, 7 Hold and 3 Sell. The average price target is 5.00.

本页仅供研究参考,不构成投资建议。模型可能出错。过往表现不代表未来结果。

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