Harley-Davidson, Inc.
NYQ: HOGLive Quote
About Harley-Davidson, Inc.
Consumer Cyclical
Recreational Vehicles
Harley-Davidson, Inc. manufactures and sells motorcycles in the United States and internationally. The company operates in three segments: Harley-Davidson Motor Company, LiveWire, and Harley-Davidson Financial Services. The Harley-Davidson Motor Company segment designs, manufactures, and sells motorcycles, including cruiser, trike, Grand American touring, standard, sportbike, adventure touring, and dual sport, as well as motorcycle parts, accessories, and apparel, as well as licenses its trademarks and related services. This segment sells its products to retail customers through a network of independent dealers, as well as e-commerce channels. The LiveWire segment sells electric motorcycles, balance bikes for kids, electric bikes, parts and accessories, apparel, and related parts and services. The Harley-Davidson Financial Services segment provides wholesale financing services, such as floorplan and open-account financing of motorcycles, and parts and accessories; and retail financing services, such as installment lending for the purchase of new and used Harley-Davidson motorcycles, as well as point-of-sale insurance and voluntary protection products. This segment also licenses third-party financial institutions that issue credit cards bearing the Harley-Davidson brand. Harley-Davidson, Inc. was founded in 1903 and is based in Milwaukee, Wisconsin.
📊 Fundamental Analysis
Harley-Davidson, Inc. demonstrates a profit margin of 7.6%, which is below the sector average, suggesting competitive pressure.
The company recently reported -27.8% revenue growth, which is negative, indicating a recent decline in revenue.
Return on Equity (ROE) is 10.4%, which suggests room for improvement in capital utilization.
At a current price of $22.79, HOG currently sits at the 40th percentile of its 52-week range (Range: $17.09 - $31.25).
💰 Valuation Insight
HOG trades at a 59.0% discount (PE: 8.20), which may represent a value opportunity given the sector average of 20.00. Analysts anticipate some earnings pressure, with a higher forward PE.
🏥 Financial Health
🔴
Profit Margin
Weak
🔴
Debt/Equity
Elevated
🔴
Revenue Growth
Weak
🔴
Return on Equity
Weak
⚠️
Beta (Risk)
Moderate Volatility
Key Financials
Market Cap
$2.68B
Trailing P/E
8.20
Forward P/E
12.17
Beta (5Y)
1.29
52W High
$31.25
52W Low
$17.09
Avg Volume
3.70M
Day High
Day Low
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