MOV Stock Analysis: Movado | NYSE

Luxury Goods | NYSE, USA | Market Cap: 836m USD | 12M Return: 134.6% | Charts, Fundamentals & Technical Analysis

Watches, Jewelry, Accessories, E-commerce
Total Rating 65
Safety 78
Buy Signal 1.10
Luxury Goods
Industry Rotation: -14.6
Market Cap: 836M
Avg Turnover: 11.5M
Risk 3d forecast
Volatility36.1%
VaR 5th Pctl6.10%
VaR vs Median2.74%
Reward TTM
Sharpe Ratio2.29
Rel. Str. IBD95.5
Rel. Str. Peer Group95.5
Character TTM
Beta1.136
Beta Downside1.045
Hurst Exponent0.570
Drawdowns 3y
Max DD55.10%
CAGR/Max DD0.33
CAGR/Mean DD0.88
EPS (Earnings per Share) EPS (Earnings per Share) of MOV over the last years for every Quarter: "2021-07": 0.85, "2021-10": 1.36, "2022-01": 1.32, "2022-04": 0.82, "2022-07": 1.07, "2022-10": 1.31, "2023-01": 1.03, "2023-04": 0.43, "2023-07": 0.38, "2023-10": 0.77, "2024-01": 0.55, "2024-04": 0.13, "2024-07": 0.16, "2024-10": 0.22, "2025-01": 0.36, "2025-04": 0.06, "2025-07": 0.23, "2025-10": 0.45, "2026-01": 0.57, "2026-04": 0.32,
EPS CAGR: -29.01%
EPS Trend: -68.7%
Last SUE: 1.65
Qual. Beats: 1
Revenue Revenue of MOV over the last years for every Quarter: 2021-07: 173.874, 2021-10: 217.746, 2022-01: 205.975, 2022-04: 163.424, 2022-07: 182.804, 2022-10: 211.397, 2023-01: 194.273, 2023-04: 144.905, 2023-07: 160.39, 2023-10: 187.686, 2024-01: 179.62, 2024-04: 134.379, 2024-07: 157, 2024-10: 180.524, 2025-01: 174.669, 2025-04: 131.869, 2025-07: 161.829, 2025-10: 186.132, 2026-01: 191.58, 2026-04: 142.402,
Rev. CAGR: -1.44%
Rev. Trend: -44.2%
Last SUE: 0.90
Qual. Beats: 2

Warnings

Below Avwap Earnings

Tailwinds

Supp Ema20
Rs Leader
Idiosyncratic Leader
Confidence

Seasonality 10.5 years of data

Jan -2.9% 14
Feb +1.8% 31
Mar -3.1% 20
Apr -1.3% 17
May +2.1% 16
Jun +0.8% 0
Jul +1.0% 12
Aug -0.2% 8
Sep -0.2% 8
Oct +1.6% 9
Nov +6.3% 25
Dec +3.8% 22

How good or bad each month usually is (without trend). The score below shows how much you can trust it: 0 = pure chance, >40 gets interesting and >55 is strong.

Description: MOV Movado

Movado Group, Inc. is a U.S.-based designer, marketer, and distributor of watches and accessories that operates through two segments: Watch and Accessory Brands, and Company Stores. Its owned brand portfolio includes Movado, Concord, Ebel, Olivia Burton, and MVMT, while its licensed portfolio features prominent fashion names such as Coach, Tommy Hilfiger, HUGO BOSS, Lacoste, Calvin Klein, and Kate Spade New York. The company also distributes jewelry and other accessories and provides after-sales and shipping services.

The business relies on a multi-channel distribution model that serves jewelry store chains, department stores, independent regional jewelers, licensed brand retail stores, third-party e-commerce retailers, and its own direct-to-consumer e-commerce platforms. This blend of owned and licensed watch brands, sold through both wholesale and DTC channels, is a common structure in the global premium and fashion watch market, where brand licensing and retail partnerships play a key role in reaching diverse customer segments. Headquartered in Paramus, New Jersey, the company traces its origins to 1881 and adopted the Movado Group name in 1996.

Headlines to Watch Out For
  • Licensed brand revenue from Coach and Tommy Hilfiger drives growth
  • Smartwatch competition pressures traditional watch segment share
  • China and Asia Pacific demand remains weak amid consumer slowdown
Piotroski VR-10 (Strict) 6.5
Net Income: 32.1m TTM > 0 and > 6% of Revenue
FCF/TA: 0.09 > 0.02 and ΔFCF/TA 9.07 > 1.0
NWC/Revenue: 58.88% < 20% (prev 59.85%; Δ -0.97% < -1%)
CFO/TA 0.10 > 3% & CFO 72.1m > Net Income 32.1m
Net Debt (-151.7m) to EBITDA (48.5m): -3.13 < 3
Current Ratio: 4.56 > 1.5 & < 3
Outstanding Shares: last quarter (22.8m) vs 12m ago 1.45% < -2%
Gross Margin: 54.82% > 18% (prev 53.75%; Δ 1.07% > 0.5%)
Asset Turnover: 92.08% > 50% (prev 86.20%; Δ 5.88% > 0%)
Interest Coverage Ratio: 78.52 > 6 (EBIT TTM 39.1m / Interest Expense TTM 498k)
Altman Z'' 8.25
A: 0.55 (Total Current Assets 514.2m - Total Current Liabilities 112.7m) / Total Assets 734.0m
B: 0.60 (Retained Earnings 441.4m / Total Assets 734.0m)
C: 0.05 (EBIT TTM 39.1m / Avg Total Assets 740.6m)
D: 2.23 (Book Value of Equity 506.9m / Total Liabilities 227.1m)
Altman-Z'' = 8.25 = AAA
Beneish M -3.18
DSRI: 0.86 (Receivables 85.7m/94.7m, Revenue 681.9m/644.1m)
GMI: 0.98 (GM 53.75% / 54.82%)
AQI: 0.91 (AQ_t 0.16 / AQ_t-1 0.18)
SGI: 1.06 (Revenue 681.9m / 644.1m)
TATA: -0.05 (NI 32.1m - CFO 72.1m) / TA 734.0m)
Beneish M = -3.18 (Cap -4..+1) = AA
What is the price of MOV shares?

As of July 10, 2026, the stock is trading at USD 36.73 with a total of 240,476 shares traded. Over the past week, the price has changed by -6.56%, over one month by -1.58%, over three months by +44.26% and over the past year by +134.63%.

Current recommended Stop Loss: 35.10 (which is 4.4% or 1.3 ATR below the current price).

Is MOV a buy, sell or hold?

Movado has received a consensus analysts rating of 4.00. Therefore, it is recommended to buy MOV.

  • StrongBuy: 0
  • Buy: 1
  • Hold: 0
  • Sell: 0
  • StrongSell: 0

What are the forecasts/targets for the MOV price?
Analysts Target Price 47.5 29.3%
Movado (MOV) - Fundamental Data Overview as of 05 July 2026
Market Cap USD = 836.0m (836.0m USD * 1.0 USD.USD)
P/E Trailing = 26.6738
P/E Forward = 24.0964
P/S = 1.2259
P/B = 1.6697
P/EG = 0.8358
Revenue TTM = 681.9m USD
EBIT TTM = 39.1m USD
EBITDA TTM = 48.5m USD
Long Term Debt = 53.5m USD (estimated: total debt 73.5m - short term 20.1m)
Short Term Debt = 20.1m USD (from shortTermDebt, last quarter)
Debt = 73.5m USD (from shortLongTermDebtTotal, last quarter) (leases 73.5m already included)
Net Debt = -151.7m USD (calculated: Debt 73.5m - CCE 225.3m)
Enterprise Value = 684.2m USD (836.0m + Debt 73.5m - CCE 225.3m)
Interest Coverage Ratio = 78.52 (Ebit TTM 39.1m / Interest Expense TTM 498k)
EV/FCF = 10.07x (Enterprise Value 684.2m / FCF TTM 67.9m)
FCF Yield = 9.93% (FCF TTM 67.9m / Enterprise Value 684.2m)
FCF Margin = 9.96% (FCF TTM 67.9m / Revenue TTM 681.9m)
Net Margin = 4.70% (Net Income TTM 32.1m / Revenue TTM 681.9m)
Gross Margin = 54.82% ((Revenue TTM 681.9m - Cost of Revenue TTM 308.1m) / Revenue TTM)
Gross Margin QoQ = 57.30% (prev 54.09%)
Tobins Q-Ratio = 0.93 (Enterprise Value 684.2m / Total Assets 734.0m)
Interest Expense / Debt = 0.68% (Interest Expense 498k / Debt 73.5m)
Taxrate = 21.25% (8.78m / 41.3m)
NOPAT = 30.8m (EBIT 39.1m * (1 - 21.25%))
Current Ratio = 4.56 (Total Current Assets 514.2m / Total Current Liabilities 112.7m)
Debt / Equity = 0.15 (Debt 73.5m / totalStockholderEquity, last quarter 506.9m)
Debt / EBITDA = -3.13 (Net Debt -151.7m / EBITDA 48.5m)
Debt / FCF = -2.23 (Net Debt -151.7m / FCF TTM 67.9m)
Total Stockholder Equity = 500.8m (last 4 quarters mean from totalStockholderEquity)
RoA = 4.33% (Net Income 32.1m / Total Assets 734.0m)
RoE = 6.40% (Net Income TTM 32.1m / Total Stockholder Equity 500.8m)
RoCE = 7.06% (EBIT 39.1m / Capital Employed (Equity 500.8m + L.T.Debt 53.5m))
RoIC = 5.07% (NOPAT 30.8m / Invested Capital 607.3m)
WACC = 9.22% (E(836.0m)/V(909.5m) * Re(9.98%) + D(73.5m)/V(909.5m) * Rd(0.68%) * (1-Tc(0.21)))
Discount Rate = 9.98% (= CAPM, Blume Beta Adj.)
Shares (quarterly) Correlation: -4.97 | Cagr: 0.0%
[DCF] Terminal Value 75.22% ; FCFF base≈41.3m ; Y1≈47.4m ; Y5≈69.7m
[DCF] Fair Price = 67.34 (EV 910.4m - Net Debt -151.7m = Equity 1.06b / Shares 15.8m; r=9.22% [WACC]; 5y FCF grow 15.0% → 2.50% )
EPS Correlation: -68.68 | EPS CAGR: -29.01% | SUE: 1.65 | # QB: 1
Revenue Correlation: -44.18 | Revenue CAGR: -1.44% | SUE: 0.90 | # QB: 2
EPS current Quarter (2026-07-31): EPS=0.35 | Chg30d=+6.98% | Revisions=+40% | Analysts=2
EPS next Quarter (2026-10-31): EPS=0.62 | Chg30d=+0.90% | Revisions=+40% | Analysts=2
EPS current Year (2027-01-31): EPS=1.83 | Chg30d=+19.72% | Revisions=+40% | GrowthEPS=+56.5% | GrowthRev=+2.1%
EPS next Year (2028-01-31): EPS=2.14 | Chg30d=+17.85% | Revisions=+40% | GrowthEPS=+16.9% | GrowthRev=+2.1%
[Analyst] Revisions Ratio: +73% (up=8, down=0)