Playboy, Inc.
NGM: PLBYLive Quote
📈 ZcoreAI Score
Our AI model analyzes Playboy, Inc.'s price action across multiple timeframes using regression channels and statistical scoring.
Get PLBY Z-Score →About Playboy, Inc.
Consumer Cyclical
Leisure
Playboy, Inc. operates as a pleasure and leisure company in the United States, Australia, China, the United Kingdom, and internationally. The company operates through two segments: Direct-to-Consumer and Licensing. It offers sexual wellness products, such as lingerie, bedroom accessories, intimacy products, and other adult products; apparel and accessories products; and beauty and grooming products, such as skincare, haircare, bath and body, cosmetics, and fragrance. The company also owns and operates digital commerce retail platforms, such as playboy.com under license agreements; Honey Birdette retail stores; and collaborates with nightlife, hospitality, digital casino, and online gaming industries. In addition, it licenses Playboy name, Rabbit Head Design, and other trademarks and related properties; and programming content to cable television operators and direct-to-home satellite television operators. Further, the company business covers the subscription sale of playboyplus.com and playboy.tv, which are online content platforms. It offers its products under its flagship brand Playboy. The company was formerly known as PLBY Group, Inc. and changed its name to Playboy, Inc. in June 2025. Playboy, Inc. is headquartered in Los Angeles, California.
📊 Fundamental Analysis
Playboy, Inc. demonstrates a profit margin of -10.5%, which is below the sector average, suggesting competitive pressure.
The company recently reported 4.2% revenue growth, which is modest compared to its industry peers.
Return on Equity (ROE) is -74.3%, which indicates that capital utilization is currently under pressure.
At a current price of $1.59, PLBY currently sits at the 36th percentile of its 52-week range (Range: $0.93 - $2.75).
🏥 Financial Health
🔴
Profit Margin
Weak
🔴
Debt/Equity
Elevated
🔴
Revenue Growth
Weak
🔴
Return on Equity
Weak
🔴
Beta (Risk)
High Volatility
Key Financials
Market Cap
$183.33M
Trailing P/E
--
Forward P/E
9.94
Beta (5Y)
2.53
52W High
$2.75
52W Low
$0.93
Avg Volume
1.18M
Day High
Day Low