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RL

★★☆☆☆ Passtemplate

Ralph Lauren Corporation

Consumer Cyclical

Session move

$367.39

+$6.25+1.73%

Vol 0.78× avg

62/100 quant · tgt $446.71

RS60 -5.8% vs SPY · ADV$ 215.3M

session 2026-10-08 · Snapshot — not live tape

Since last scan

2026-10-08 → 2026-10-09

Score+4.6Price+$4.20 · +1.16%Disclosure-12.0

Context only — not a buy/sell signal. Built from scan history and cached news/filings.

Snapshot quote

session 2026-10-08 · scan 2026-10-09 · pushed 10-09 06:06 ET · Pre-market (stale)

Show quote fundamentals
Last (scan/close)
$367.39
Previous close
$361.14
Pushed last
$367.39 (stale) · 10-09 06:06 ET · Pre-market
Session open
$358.38
Last session range
$357.09 – $367.83
52-week range
$304.20 – $420.57
Session volume
481,617
Avg volume (20d)
616,881
Market cap
$21.89B
PE (TTM)
23.15
Forward PE
17.52
Dividend yield
1.04%
1y target est.
$446.71
Next earnings
2026-11-05

Snapshot quote — last daily session bars and scan fundamentals. Not live bid/ask or intraday quotes. Pre/after-hours quotes are thinner and may differ from the regular session.

If you put $1,000.00 in

1y ago

$1,146.48

+15%

5y ago

$3,565.82

+257%

Price path only from cached daily closes (adjusted when available). Not dividends cash, fees, or advice.

Market briefing

Curated digest — not a trade signal. Headlines and links as provided by the producer.

No recent headlines for this ticker.

Price Chart

Daily prices from cache

Loading price history…

AI Analysis

  • Bull Thesis — RL scores 61.56/100 (Pass) with revenue growth at 14.0% and a multi-factor profile supporting the current ranking.
  • Risks — Key risks for RL include valuation compression, sector rotation, and any deterioration in earnings momentum or balance-sheet leverage. Context: cached next earnings 2026-11-05.
  • Target Upside — Consensus implied upside is 21.6%. Category 'Pass' suggests monitoring position sizing against the 100-point model thresholds.

Score History

2026-08-3161.6 pts · 2026-10-09

30 days of scans. Daily batch adds the next weekday automatically while the API is running.

  • DatePriceChgScoreRating
  • 2026-10-09$367.39+$4.2061.6Pass
  • 2026-10-08$363.19+$0.5057.0Pass
  • 2026-10-07$362.69−$2.7857.6Pass
  • 2026-10-06$365.47+$1.8658.5Pass
  • 2026-10-05$363.61+$1.0557.9Pass
  • 2026-10-02$362.56+$6.2256.5Pass
  • 2026-10-01$356.34−$1.9056.3Pass
  • 2026-09-30$358.24+$3.2256.3Pass
  • 2026-09-29$355.02−$0.7456.5Pass
  • 2026-09-28$355.76+$4.0956.8Pass
  • 2026-09-25$351.67+$5.6557.3Pass
  • 2026-09-24$346.02+$5.5057.4Pass
  • 2026-09-23$340.52−$5.2957.6Pass
  • 2026-09-22$345.81+$10.9757.9Pass
  • 2026-09-21$334.84+$2.3757.9Pass
  • 2026-09-18$332.47−$5.7257.9Pass
  • 2026-09-17$338.20+$1.2557.9Pass
  • 2026-09-16$336.94−$1.1657.9Pass
  • 2026-09-15$338.10+$1.2057.9Pass
  • 2026-09-14$336.90+$1.2657.9Pass
  • 2026-09-11$335.64−$0.4557.9Pass
  • 2026-09-10$336.09−$6.5758.2Pass
  • 2026-09-09$342.66−$8.5458.0Pass
  • 2026-09-08$351.20$0.0059.5Pass
  • 2026-09-07$351.20+$7.0059.5Pass
  • 2026-09-04$344.20+$7.7059.1Pass
  • 2026-09-03$336.50−$4.3258.9Pass
  • 2026-09-02$340.82−$6.0858.9Pass
  • 2026-09-01$346.90−$7.1458.9Pass
  • 2026-08-31$354.04—59.9Pass

Quant Breakdown

Revenue Growth
5.6
EPS Growth
8.6
ROE
12.0
PER Relative
5.6
Debt / Equity
4.8
FCF Margin
5.6
Analyst Upside
5.0
Insider / Sector
5.0
Momentum 3M
1.3
Earn. Surprise
8.0

Short volume (FINRA)

Off-exchange short sale volume ratio vs recent sessions — not a squeeze forecast.

as of 2026-10-08 · finra_cnms
Short / total
54.3%
vs 20d (z)
0.30
Short vol
116,036
Status
ok

Squeeze pressure score

full

27/100

Short leg
25
Call leg
38
Activity
0.2
Call vol share
58.8%
PCR (vol)
0.70
Call OI share
0.0%
ATM IV
1.6%

FINRA off-exchange short volume (TRF/ADF consolidated). Not short interest as % of float. Squeeze pressure score (0–100) — free composite of off-exchange short volume and (when available) call-side options activity. Not a probability that a squeeze will occur.

Disclosure score

Rule-based News / Insider / Earnings legs from cached SEC filings — context only, not beat/miss or a buy signal.

No recent SEC filings or earnings calendar inputs in the score window yet.

Disclosure event score — rule-based view of recent SEC filings and earnings calendar. Not a prediction that price will move, and not earnings beat/miss.

Earnings surprise (quant context)

From Yahoo/public fundamentals cached on the last quant scan — not part of the disclosure event score, and not a buy signal. Figure can lag the latest print.

Last reported surprise +0.2%

Filings & events

Recent SEC disclosures and earnings dates — context only, not a trade signal.

as of 2026-09-03·sec_edgar·CIK 0001037038
Next earnings
2026-11-05yahoo_calendar
Last earnings
—

SEC filings as reported; earnings dates may come from Yahoo calendar. Context only — not investment advice and not a prediction that price will move on a filing or event.