Revolve Group
Founded
2003
Ticker
RVLV
Exchange
NYSE
Sector
Fashion / E-commerce
Market Cap
Small/Mid Cap
Headquarters
Cerritos, California, USA
Target Audience
Millennial and Gen Z women aged 18–35. ~2 million active customers (FY2024).
Digital-first fashion platform built around influencer marketing, occasionwear, and trend-led online retail. It is a strong example of a business where brand curation, customer identity, and digital execution are tightly linked. Operates REVOLVE (core platform) and FWRD (luxury companion platform) with no physical stores, alongside a majority stake in Alexandre Vauthier (acquired June 2024).
Stock Price
...
RVLV
15-minute delay via Yahoo Finance. Percentage change shown reflects movement relative to the previous trading day's close.
Financial Health Score
48.5 / 100
Behavioural Quality Score
40.1 / 100
| Metric |
Reported Figure |
Ratio / Rate |
Normalised Score |
Note |
| Revenue Growth |
Revenue
$1.23B
Prior Year Revenue
$1.13B
|
8.4760
|
|
Year-over-year change in total revenue.
|
| Gross Margin |
Gross Profit
$655.8M
|
53.5036
|
|
Gross profit as a percentage of revenue — how much revenue remains after direct production costs.
|
| Operating Margin |
Op. Income
$74.3M
|
6.0589
|
|
Operating income as a percentage of revenue — efficiency after all operating costs including SG&A.
|
| Net Profit Margin |
Net Income
$61.7M
|
5.0347
|
|
Net income as a percentage of revenue — bottom-line profitability after all costs, taxes, and interest.
|
| FCF Margin |
Free Cash Flow
$48.0M
|
3.9155
|
|
Free cash flow as a percentage of revenue — cash actually generated after capital expenditure.
|
| Debt to Equity |
Total Debt
$32.5M
|
0.0633x
|
|
⚑ Near debt-free capital structure.
Total debt divided by shareholder equity — degree of financial leverage. Lower is stronger; this metric is inverted in scoring.
|
| Current Ratio |
Current Assets
$118.0M
Current Liabilities
$21.9M
|
5.3818x
|
|
⚑ Highest current ratio in peer group — strongest short-term liquidity position.
Current assets divided by current liabilities — ability to meet short-term obligations.
|
| Return on Equity (ROE) |
Shareholders' Equity
$512.5M
|
12.0400
|
|
Net income divided by shareholder equity — profit generated per dollar of shareholder capital.
|
| Return on Assets (ROA) |
Total Assets
$765.0M
|
8.0665
|
|
Net income divided by total assets — profit generated per dollar of total assets held.
|
| Interest Coverage Ratio |
EBIT
$80.7M
|
25.0000x
|
|
⚑ Debt-light adjustment applied — no meaningful interest expense. See methodology
EBIT divided by interest expense — how comfortably operating earnings cover interest obligations.
|
ℹ
Interest Coverage Ratio: This company carries minimal debt (Debt-to-Equity below 0.5) with no meaningful interest expense. Rather than applying median imputation, BrandSignals assigns a value of 25.0 to this metric — reflecting the absence of any interest burden and awarding full strength on this dimension. This is a documented analytical adjustment, not an estimated or fabricated value. Learn more →
Valuation
Market-implied valuation multiples based on current stock price. Green = trading below peer median (cheaper). Red = trading above peer median (more expensive). P/E and EV/EBITDA are not shown for loss-making companies — Price/Sales remains available in all cases.
P/E Ratio
—
How much investors pay per dollar of earnings. Peer median: 15.0x
EV / EBITDA
—
Enterprise value relative to operating earnings. Preferred over P/E for comparing companies with different debt levels. Peer median: 10.4x
Price / Sales
—
Market cap relative to annual revenue. Useful for loss-making firms. Peer median: 1.16x
| Signal |
Reported Figure |
Normalised Score |
Note |
| Google Trends Score (US) |
57.7 |
0.625
|
⚑ Average US search interest score (0–100) over the past 12 months.
|
| Google Trends Score (Global) |
64.0 |
—
|
⚑ Reported for reference only — this company is classified as primarily US-focused, so global search interest is not included in its behavioural score weighting.
|
| Trustpilot Rating |
3.5 |
0.750
|
⚑ Customer star rating on Trustpilot (1–5).
|
| App Rating |
3.5 |
0.000
|
⚑ Google Play Store rating (1–5).
|
| YouTube Subscribers |
48K |
0.051
|
⚑ Total YouTube channel subscribers — indicator of brand cultural reach and chosen ongoing content followership.
|
| Instagram Followers |
6.2M |
0.347
|
⚑ Instagram followers — indicator of active brand audience size and ongoing consumer attention.
|
| TikTok Total Likes |
24.8M |
0.390
|
⚑ TikTok total likes — #4 in the universe at 24.8M, consistent with Revolve's influencer-led, occasion-wear positioning that translates well to TikTok content.
|
| Glassdoor Overall Rating |
3.2 |
0.500
|
⚑ Overall employee rating on Glassdoor (1–5).
|
| Glassdoor CEO Approval % |
68% |
0.604
|
⚑ % of employees who approve of the CEO.
|
| Glassdoor Recommend % |
46% |
0.346
|
⚑ % of employees who would recommend the company to a friend.
|
Google Trends weighting reflects this company's primarily US-focused market presence, with the Global Trends score shown for reference only.
Some behavioural data is manually collected. Last updated: 2026-05-14.
Glassdoor Snapshot
Overall Rating
3.2
CEO Approval
68%
Recommend to Friend
46%
Culture Rating
3.5
Work / Life Balance
3.0
Diversity & Inclusion
3.8
Senior Management
3.2
Compensation & Benefits
3.0
Glassdoor data is manually collected. Last updated: 2026-05-13
Signal Profiles Spider Map
Normalised scores across financial and behavioural signals (0–1 scale)
Each axis represents one signal. Points closer to the outer edge indicate stronger performance relative to peers — a larger, fuller shape means stronger overall signal quality. Points near the centre indicate weaker relative performance on that metric. All values are normalised relative to the companies in the BrandSignals universe.
Market Sentiment
Price momentum and market positioning indicators
1-Month Return
—
Stock price change over the past 30 days.
3-Month Return
—
Stock price change over the past 90 days.
vs XLY (3M)
—
3-month return relative to the Consumer Discretionary ETF. Positive = outperforming the sector.
30-Day Volatility
—
Annualised standard deviation of daily stock price returns — how much the stock price typically fluctuates in a year. Peer median: 44%
52-Week Position
—
Where the current price sits within the past 52-week range. 0% = at 52-week low, 100% = at 52-week high.
vs SPY (3M)
—
3-month return relative to the S&P 500. Positive = outperforming the broader market.
Returns reflect stock price movement only and do not include dividends paid during the period. Data via Yahoo Finance with a 15-minute delay.
Products & Categories
Apparel
Footwear
Accessories
Beauty
Swimwear
Lifestyle
Brands & Subsidiaries
REVOLVE
FWRD
Alexandre Vauthier (majority stake)
Alliance Apparel
Latest News
Google News — Revolve Group