Van de Velde NV
XBRU:VAN
Intrinsic Value
Van de Velde NV engages in the production and sale of luxury lingerie. [ Read More ]
The intrinsic value of one VAN stock under the Base Case scenario is 41.35 EUR. Compared to the current market price of 32.95 EUR, Van de Velde NV is Undervalued by 20%.
Valuation Backtest
Van de Velde NV
Run backtest to discover the historical profit from buying and selling VAN stocks based on their intrinsic value.
Analyze the historical link between intrinsic value and market price to make more informed investment decisions.
Fundamental Analysis
Balance Sheet Decomposition
Van de Velde NV
Current Assets | 126.5m |
Cash & Short-Term Investments | 60.6m |
Receivables | 14m |
Other Current Assets | 52m |
Non-Current Assets | 76.4m |
Long-Term Investments | 10.6m |
PP&E | 39.4m |
Intangibles | 25m |
Other Non-Current Assets | 1.4m |
Current Liabilities | 27.9m |
Accounts Payable | 21.9m |
Other Current Liabilities | 6m |
Non-Current Liabilities | 9.2m |
Long-Term Debt | 6.7m |
Other Non-Current Liabilities | 2.5m |
Earnings Waterfall
Van de Velde NV
Revenue
|
211.3m
EUR
|
Cost of Revenue
|
-40.5m
EUR
|
Gross Profit
|
170.8m
EUR
|
Operating Expenses
|
-125.4m
EUR
|
Operating Income
|
45.3m
EUR
|
Other Expenses
|
-11.7m
EUR
|
Net Income
|
33.6m
EUR
|
Free Cash Flow Analysis
Van de Velde NV
VAN Profitability Score
Profitability Due Diligence
Van de Velde NV's profitability score is 69/100. The higher the profitability score, the more profitable the company is.
Score
Van de Velde NV's profitability score is 69/100. The higher the profitability score, the more profitable the company is.
VAN Solvency Score
Solvency Due Diligence
Van de Velde NV's solvency score is 99/100. The higher the solvency score, the more solvent the company is.
Score
Van de Velde NV's solvency score is 99/100. The higher the solvency score, the more solvent the company is.
Wall St
Price Targets
VAN Price Targets Summary
Van de Velde NV
According to Wall Street analysts, the average 1-year price target for VAN is 40.8 EUR with a low forecast of 40.4 EUR and a high forecast of 42 EUR.
Shareholder Return
VAN Price
Van de Velde NV
Average Annual Return | 9.06% |
Standard Deviation of Annual Returns | 29.75% |
Max Drawdown | -40% |
Market Capitalization | 422.2m EUR |
Shares Outstanding | 12 778 400 |
Percentage of Shares Shorted |
N/A
|
Company Profile
Country
Industry
Market Cap
Dividend Yield
Description
Van de Velde NV engages in the production and sale of luxury lingerie. The company is headquartered in Schellebelle, Oost-Vlaanderen and currently employs 1,507 full-time employees. The firm markets its products under the Marie Jo, Marie Jo L’Aventure, PrimaDonna, PrimaDonna Twist, PrimaDonna Swim and Andres Sarda brand names. Van de Velde NV has two operating segments: Retail and Wholesale. Retail refers to business through its own retail network, such as stores and franchisees under the Lincherie, Rigby & Peller, Intimacy and Private Shop names. Wholesale refers to business with independent specialty retailers, such as customers external to the Group. The firm's subsidiaries include Van De Velde GmbH & Co KG, Van De Velde UK Ltd and Van De Velde Mode BV, among others.
Contact
IPO
Employees
Officers
The intrinsic value of one VAN stock under the Base Case scenario is 41.35 EUR.
Compared to the current market price of 32.95 EUR, Van de Velde NV is Undervalued by 20%.