Torrid Holdings Inc. (CURV) Stock

Torrid Holdings Inc. (CURV) is a Consumer Discretionary stock trading at $2.09 (as of 2026-08-20), with a market capitalization of $208.00M and a trailing P/E of 139.1. Figures are sourced from first-party U.S. SEC EDGAR filings and market data.

Torrid Holdings Inc. designs, develops, and merchandises plus-size women’s apparel and intimates under the Torrid and Torrid Curve brands. It sells tops, bottoms, dresses, denim, activewear, intimates, sleepwear, swimwear, outerwear, and selected non-apparel items through e-commerce and its retail stores in North America.

Understand Torrid Holdings Inc.: how it makes money

Torrid Holdings sells women’s plus-size apparel and intimates through its Torrid and Torrid Curve brands, and makes money by selling these products directly to consumers via its e-commerce platform and physical stores.

Torrid’s profit model depends on driving comparable sales while managing inventory, because the business sells directly to consumers and uses markdowns and inventory reductions to clear product (as reflected by markdown and inventory-related KPIs).

Business quality (Weak): Operational indicators point to both customer engagement strength (loyalty and satisfaction metrics) and pressure on sales and pricing (negative comparable store sales and markdown activity).

Bull case

  • Loyalty and satisfaction metrics are strong, with Loyalty Program Customer Engagement at 95% and Customer Satisfaction Score at 95%: This suggests a meaningful portion of sales comes from loyal customers, which can help stabilize demand.
  • Inventory is being reduced versus the prior year, with Inventory Decrease Compared to Prior Year at 17%: Inventory control can reduce the need for deeper clearance actions and can support better retail execution.

Bear case

  • Comparable store sales are down, with Comparable Store Sales at -3.5%: Declining comparable sales can make it harder to cover fixed costs and maintain operating leverage.
  • Markdown activity remains a meaningful factor, with Markdown Comparable Sales Decrease at 47%: Higher reliance on markdowns can indicate pricing pressure and can weigh on profitability.
  • Store footprint is shrinking, with Stores Closed During the Quarter at 77 and Stores Closed Year to Date at 74: Ongoing closures can reflect underperformance in some locations and reduce revenue base.
Valuation — source: SEC EDGAR (first-party)
Price$2.09
Market Cap$208.00M
P/E Ratio139.1
EV / EBITDA6.6
Price / Sales0.21
FCF Yield-16.0%
DCF Value (model)$3.41
DCF Upside vs Price63.2%
Profitability & Growth — source: SEC EDGAR
Revenue (TTM)$1.00B
Net Margin-0.7%
Revenue Growth (YoY)-9.4%
EPS Growth (YoY)-143.8%
FCF Growth (YoY)-134.7%
Financial Health — source: SEC EDGAR
Altman Z-Score1.53 (distress)
Piotroski F-Score2/9 (weak)
Valuation vs Sector & Industry
Stock P/E139.1
Sector P/E (Consumer Discretionary)20.5
Industry P/E (Retail)19.5
vs Sector579.3%
vs Industry612.6%
Smart-Money Activity — SEC Form 4 / 13F / Congressional disclosures
Top Institutional HolderSYCAMORE PARTNERS MANAGEMENT, L.P. ($103.77M)
Institutional Holders Tracked10
Company
SectorConsumer Discretionary
IndustryRetail
CEOLisa Harper
Employees1,810
CountryUS
IPO Date2021-07-01

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CURV earnings history · CURV institutional & insider holders · CURV KPIs & operating metrics · CURV financials · CURV investor presentations & press releases · CURV SEC filings · CURV peers · Congress trades · Insider trades · Short interest · Stock screener

Data as of 2026-08-20.

Figures sourced from U.S. Securities and Exchange Commission (SEC EDGAR) filings and market data. Not personalized investment advice.