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High Management Efficiency with a high ROE of 21.94%
Company has a low Debt to Equity ratio (avg) at times
Strong Long Term Fundamental Strength with an average Return on Equity (ROE) of 21.94%
The company has declared Positive results for the last 3 consecutive quarters
With ROE of 29.90%, it has a fair valuation with a 14.11 Price to Book Value
Consistent Returns over the last 3 years
Total Returns (Price + Dividend) 
Ralph Lauren Corp. for the last several years.
Risk Adjusted Returns v/s 
News

Ralph Lauren Corp. Experiences Revision in Its Stock Evaluation Amid Strong Financial Performance
Ralph Lauren Corp. has recently adjusted its valuation, showcasing strong financial metrics such as a P/E ratio of 47 and a dividend yield of 44.31%. With impressive returns on capital and equity, the company stands out among footwear industry peers, reflecting its competitive market position and solid performance.
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Ralph Lauren Corp. Hits New 52-Week High at $341.90
Ralph Lauren Corp. achieved a new 52-week high of USD 341.90 on October 24, 2025, marking a 78.24% increase over the past year. With a market capitalization of USD 41,155 million, a P/E ratio of 47.00, and a dividend yield of 26.34%, the company showcases strong financial health and effective resource management.
Read MoreIs Ralph Lauren Corp. overvalued or undervalued?
As of 17 October 2025, the valuation grade for Ralph Lauren Corp. has moved from expensive to attractive, indicating a shift in perception towards the stock's value. The company appears to be undervalued, supported by a P/E ratio of 47, a Price to Book Value of 14.11, and an EV to EBITDA ratio of 29.87. In comparison, peers such as Skechers U.S.A., Inc. have a significantly lower P/E ratio of 12.84, while VF Corp. stands at 24.89, suggesting that Ralph Lauren may offer a more favorable investment opportunity relative to its industry counterparts. Additionally, Ralph Lauren Corp. has demonstrated strong performance, with a year-to-date return of 41.90% compared to the S&P 500's 13.30%, and an impressive three-year return of 245.23% versus the S&P 500's 81.19%. This performance reinforces the attractiveness of the stock, suggesting that it may be undervalued in light of its recent returns and favorable valua...
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Shareholding Snapshot : Mar 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 120 Schemes (52.77%)
Held by 276 Foreign Institutions (19.87%)
Quarterly Results Snapshot (Consolidated) - Jun'25 - YoY
YoY Growth in quarter ended Jun 2025 is 13.68% vs 1.05% in Jun 2024
YoY Growth in quarter ended Jun 2025 is 30.72% vs 27.63% in Jun 2024
Annual Results Snapshot (Consolidated) - Mar'25
YoY Growth in year ended Mar 2025 is 6.75% vs 2.91% in Mar 2024
YoY Growth in year ended Mar 2025 is 14.95% vs 23.65% in Mar 2024






