TORRID HOLDINGS INC. (CURV)

2.44USD +9.42% (+0.21)

Over 1M: -6.5%

Style
Area Line Line with markers Steps Candles Hollow candles Bars

Candles and bars need the day’s open, high and low, and need room to be drawn in: past about a year of trading a body is thinner than a hairline, so those three offer the longest window that fits instead.

2 2.2 2.4 2.6
7 Aug 12 Aug 17 Aug 20 Aug 25 Aug 28 Aug 2 Sep

Financials Quarterly

Figures
Revenue Gross Profit Operating Income Cost of Revenue Operating Cash Flow Free Cash Flow Net Income

A share count and earnings a share are not here: neither is money, so neither can share this axis. Both have their own panel on All charts.

All charts ›
Q3 '26 — Gross Profit: 93.5M Q3 '26 — Free Cash Flow: 14.6M Q4 '26 — Gross Profit: 82.2M Q4 '26 — Free Cash Flow: -6.6M Q4 '26 — Gross Profit: 70.9M Q4 '26 — Free Cash Flow: -9.3M Q2 '27 — Gross Profit: 86.8M Q2 '27 — Free Cash Flow: 5.7M 0 25M 50M 75M 100M
Q3 '26 Q4 '26 Q4 '26 Q2 '27
Gross Profit Free Cash Flow

How it scores

For a valuation multiple, the low end is the good end.

Quality

How much of the revenue is really kept — and what did it take to earn it?

4.1
SBC / sales 0.59%
ROIC 34.0%
OE margin -0.14%
Accruals -7.1%
ROCE 15.1%
Gross margin 34.0%
FCF margin 0.45%
OCF / EBIT 0.76×
OCF margin 1.7%
ROA -3.1%
ROE —

5 of 17 counted in the score. The rest are measures this model does not include here, or figures these filings do not carry — switch any of them on and the score changes.

Valuation

What does the price ask for what the company earns, owns and pays out?

3.9
EV/EBIT 23.6×
EV/OE -369.3×
EV/GP 1.5×
EV/Sales 0.51×
P/C 10.6×
FCF yield 1.8%
Div. yield —
Fwd P/E —
P/B —
P/E —
PEG —

2 of 12 counted in the score. The rest are measures this model does not include here, or figures these filings do not carry — switch any of them on and the score changes.

Durability

How predictable is the revenue, and how much of it is already committed?

4.9
RPO / sales —
RPO growth —
Segment HHI —

3 of 7 counted in the score. The rest are measures this model does not include here, or figures these filings do not carry — switch any of them on and the score changes.

Resilience

Can the balance sheet absorb a bad year?

1.5
ND/EBITDA -0.52
Current ratio 0.79×
Cash / Debt 0.08×
Debt payback 59.6 yr
F-score 2.0 pts
Quick ratio 0.24×
Cash runway —
Debt / Eq —
Equity / Assets —
Net debt / Eq —
Payout —

3 of 12 counted in the score. The rest are measures this model does not include here, or figures these filings do not carry — switch any of them on and the score changes.

Growth

Is the business getting bigger, and is it getting more profitable?

1.0
Sales/sh Y/Y -6.3%
EBIT CAGR -38.0%
EBIT Y/Y -62.6%
EPS Y/Y -229.8%
Sales Q/Q -7.6%
Div. growth —
EPS CAGR 4Y —
EPS next Y —

4 of 13 counted in the score. The rest are measures this model does not include here, or figures these filings do not carry — switch any of them on and the score changes.

A measure absent from a block could not be computed from this company's filings. It is left out rather than scored as though it were bad, and the dimension is averaged over what remains. A score is measured against a fixed scale this model states; the bar is measured against the other companies, so the two can disagree — and where they do, that disagreement is the more interesting figure.