Lanvin Group Holdings (LANV) Research Hub

Lanvin Group Holdings (LANV) trades on NYSE, CN in the Consumer Cyclical (Luxury Goods) sector. As of 2026-09-11, shares last closed at 1.1 USD (+7.84%), in a range — insufficient history for 200-DMA. Valuation: trailing P/E -1.84, market cap 0.15B. This hub links to the full technical, earnings and options research available for LANV.

Last updated 2026-09-11 · Source: FMP end-of-day prices (adjusted); indicators computed by SniperIQ

SectorConsumer Cyclical (Luxury Goods)
ExchangeNYSE, CN
Last close1.1 USD (+7.84%)
52-week range0.95 USD – 1.8 USD
Trend regimeRange
14-day RSI40.4 (Bearish)
Trailing P/E-1.84
Market cap0.15B
Dividend yield0.00%

Available research for LANV

Earnings

LANV earnings: real EPS beat/miss history, analyst consensus Hold, P/E -1.84. Updated 2026-07-23.

Options: Covered Call

Covered Call on LANV: how it works, illustrative setup around the real 1.1 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Iron Condor

Iron Condor on LANV: how it works, illustrative setup around the real 1.1 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Protective Put

Protective Put on LANV: how it works, illustrative setup around the real 1.1 USD price, max profit/loss, breakeven and when to use it. Educational.

Technical

LANV technical analysis: range, last 1.1 USD, RSI 40.4, 52w range 0.95 USD–1.8 USD, real support/resistance. Updated 2026-09-11.

Frequently asked questions

What sector is LANV in?

Lanvin Group Holdings (LANV) is classified under Consumer Cyclical (Luxury Goods), listed on NYSE, CN.

Is LANV in an uptrend or downtrend?

As of 2026-09-11, LANV is in a range — insufficient history for 200-DMA. See the full technical research page for support and resistance levels.

What is LANV's trailing P/E ratio?

LANV's trailing P/E is -1.84, with a market cap of 0.15B. See the earnings research page for full valuation detail.