Symbols / QVCGB $0.51 -74.50% QVC Group Inc.

Consumer Cyclical • Internet Retail • United States • PNK
QVCGB Chart
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About

QVC Group Inc., together with its subsidiaries, engages in the video and online commerce industries in North America, Europe, and Asia. The company markets and sells various consumer products primarily through merchandise-focused televised shopping programs, internet, and mobile applications. It also consists of a portfolio of aspirational home and apparel brands in the U.S. that sell merchandise through brick-and-mortar retail locations, as well as via the internet through their websites. In addition, the company offers a various assortment of merchandise and classifies its home, apparel, beauty, accessories, electronics, and jewelry products through its websites, other interactive media, and catalogs, as well as operates as an online retailer. The company multiple platforms, including broadcast networks, websites, mobile applications, social media pages, print catalogs, and physical stores. The company was formerly known as Qurate Retail, Inc. and changed its name to QVC Group Inc. in February 2025. QVC Group Inc. was founded in 1991 and is headquartered in Englewood, Colorado. On April 16, 2026, QVC Group Inc. along with its affiliates, filed a voluntary petition for reorganization under Chapter 11 in the U.S. Bankruptcy Court for the Southern District of Texas.

Stock Fundamentals
Scroll to Statements
Market Cap 4.13M Enterprise Value 5.98B Income -2.44B Sales 9.23B Book/sh -380.74 Cash/sh 243.63
Dividend Yield Payout 0.00% Employees IPO P/E Forward P/E
PEG 6.01 P/S 0.00 P/B -0.00 P/C EV/EBITDA 7.92 EV/Sales 0.65
Quick Ratio 0.45 Current Ratio 0.63 Debt/Eq LT Debt/Eq EPS (ttm) -302.97 EPS next Y
EPS Growth Revenue Growth -9.10% Earnings 2026-05-06 ROA 2.98% ROE ROIC
Gross Margin 34.30% Oper. Margin 3.96% Profit Margin -26.42% Shs Outstand 182.23K Shs Float 6.68M Short Float 2.64%
Short Ratio 1.19 Short Interest 52W High 454.50 52W Low 0.51 Beta 2.87 Avg Volume 35.00
Volume 500.00 Target Price Recom None Prev Close $2.00 Price $0.51 Change -74.50%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$0.51
Latest analyst target
3. DCF / Fair value
$-5012.81
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$0.51
Low
High
Mean
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2025-03-04 MAFFEI GREGORY B Chairman of the Board 295,608 $0.00 $0
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
9,230.00
-8.04%
10,037.00
-8.04%
10,915.00
-9.84%
12,106.00
Operating Revenue
9,230.00
-8.04%
10,037.00
-8.04%
10,915.00
-9.84%
12,106.00
Cost Of Revenue
6,064.00
-7.05%
6,524.00
-9.76%
7,230.00
-14.10%
8,417.00
Reconciled Cost Of Revenue
6,064.00
-7.05%
6,524.00
-9.76%
7,230.00
-14.10%
8,417.00
Gross Profit
3,166.00
-9.88%
3,513.00
-4.67%
3,685.00
-0.11%
3,689.00
Operating Expense
2,809.00
-0.57%
2,825.00
-8.01%
3,071.00
-5.83%
3,261.00
Selling General And Administration
1,736.00
+1.64%
1,708.00
-8.61%
1,869.00
-3.91%
1,945.00
Other Operating Expenses
675.00
-8.04%
734.00
-7.67%
795.00
-4.79%
835.00
Total Expenses
8,873.00
-5.09%
9,349.00
-9.24%
10,301.00
-11.79%
11,678.00
Operating Income
357.00
-48.11%
688.00
+12.05%
614.00
+43.46%
428.00
Total Operating Income As Reported
-2,098.00
-159.33%
-809.00
-237.12%
590.00
+128.91%
-2,041.00
EBITDA
-1,689.00
-283.86%
-440.00
-147.62%
924.00
+167.40%
-1,371.00
Normalized EBITDA
756.00
-29.15%
1,067.00
+4.51%
1,021.00
-1.16%
1,033.00
Reconciled Depreciation
398.00
+3.92%
383.00
-5.90%
407.00
-15.38%
481.00
EBIT
-2,087.00
-153.58%
-823.00
-259.19%
517.00
+127.92%
-1,852.00
Total Unusual Items
-2,445.00
-62.24%
-1,507.00
-1453.61%
-97.00
+95.97%
-2,404.00
Total Unusual Items Excluding Goodwill
-2,445.00
-62.24%
-1,507.00
-1453.61%
-97.00
+95.97%
-2,404.00
Special Income Charges
-2,455.00
-63.99%
-1,497.00
-1601.14%
-88.00
+96.44%
-2,469.00
Other Special Charges
Impairment Of Capital Assets
2,407.00
+62.64%
1,480.00
+353.99%
326.00
-89.42%
3,081.00
Restructuring And Mergern Acquisition
53.00
+194.44%
18.00
+109.52%
-189.00
-105.43%
-92.00
Net Income
-2,439.00
-89.07%
-1,290.00
-789.66%
-145.00
+94.41%
-2,594.00
Pretax Income
-2,583.00
-100.08%
-1,291.00
-2056.06%
66.00
+102.86%
-2,308.00
Net Non Operating Interest Income Expense
-496.00
-5.98%
-468.00
-3.77%
-451.00
+1.10%
-456.00
Interest Expense Non Operating
496.00
+5.98%
468.00
+3.77%
451.00
-1.10%
456.00
Net Interest Income
-496.00
-5.98%
-468.00
-3.77%
-451.00
+1.10%
-456.00
Interest Expense
496.00
+5.98%
468.00
+3.77%
451.00
-1.10%
456.00
Other Income Expense
-2,444.00
-61.75%
-1,511.00
-1457.73%
-97.00
+95.75%
-2,280.00
Other Non Operating Income Expenses
1.00
+125.00%
-4.00
124.00
Gain On Sale Of Security
10.00
+200.00%
-10.00
-11.11%
-9.00
-113.85%
65.00
Gain On Sale Of Business
0.00
0.00
+100.00%
-64.00
0.00
Tax Provision
-185.00
-351.22%
-41.00
-125.63%
160.00
-28.57%
224.00
Tax Rate For Calcs
0.00
+125.52%
0.00
-84.88%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
-175.12
-265.89%
-47.86
-134.95%
-20.37
+95.97%
-504.84
Net Income Including Noncontrolling Interests
-2,398.00
-91.84%
-1,250.00
-1229.79%
-94.00
+96.29%
-2,532.00
Net Income From Continuing Operation Net Minority Interest
-2,439.00
-89.07%
-1,290.00
-789.66%
-145.00
+94.41%
-2,594.00
Net Income From Continuing And Discontinued Operation
-2,439.00
-89.07%
-1,290.00
-789.66%
-145.00
+94.41%
-2,594.00
Net Income Continuous Operations
-2,398.00
-91.84%
-1,250.00
-1229.79%
-94.00
+96.29%
-2,532.00
Minority Interests
-41.00
-2.50%
-40.00
+21.57%
-51.00
+17.74%
-62.00
Normalized Income
-169.12
-199.99%
169.14
+347.39%
-68.37
+90.16%
-694.84
Net Income Common Stockholders
-2,439.00
-89.07%
-1,290.00
-789.66%
-145.00
+94.41%
-2,594.00
Diluted EPS
-302.97
-85.87%
-163.00
-781.08%
-18.50
+94.58%
-341.50
Basic EPS
-302.97
-85.87%
-163.00
-781.08%
-18.50
+94.58%
-341.32
Basic Average Shares
8.05
+1.65%
7.92
+2.39%
7.74
+1.78%
7.60
Diluted Average Shares
8.05
+1.65%
7.92
+2.39%
7.74
+0.98%
7.66
Diluted NI Availto Com Stockholders
-2,439.00
-89.07%
-1,290.00
-789.66%
-145.00
+94.41%
-2,594.00
Depreciation Amortization Depletion Income Statement
398.00
+3.92%
383.00
-5.90%
407.00
-15.38%
481.00
Depreciation And Amortization In Income Statement
398.00
+3.92%
383.00
-5.90%
407.00
-15.38%
481.00
Earnings From Equity Interest
-1.00
Gain On Sale Of PPE
5.00
+400.00%
1.00
-99.12%
113.00
-78.27%
520.00
Line Item Trend 2023-12-31
Total Assets
11,368.00
Current Assets
3,682.00
Cash Cash Equivalents And Short Term Investments
1,121.00
Cash And Cash Equivalents
1,121.00
Receivables
1,308.00
Accounts Receivable
1,308.00
Gross Accounts Receivable
1,410.00
Allowance For Doubtful Accounts Receivable
-102.00
Other Receivables
Inventory
1,044.00
Other Current Assets
209.00
Total Non Current Assets
7,686.00
Net PPE
1,147.00
Gross PPE
2,110.00
Accumulated Depreciation
-963.00
Properties
0.00
Land And Improvements
68.00
Buildings And Improvements
421.00
Machinery Furniture Equipment
Construction In Progress
59.00
Other Properties
1,562.00
Goodwill And Other Intangible Assets
6,388.00
Goodwill
3,164.00
Other Intangible Assets
3,224.00
Other Non Current Assets
151.00
Total Liabilities Net Minority Interest
10,879.00
Current Liabilities
2,617.00
Payables And Accrued Expenses
1,878.00
Payables
895.00
Accounts Payable
895.00
Current Accrued Expenses
983.00
Current Debt And Capital Lease Obligation
642.00
Current Debt
642.00
Other Current Liabilities
97.00
Total Non Current Liabilities Net Minority Interest
8,262.00
Long Term Debt And Capital Lease Obligation
5,313.00
Long Term Debt
4,698.00
Long Term Capital Lease Obligation
615.00
Non Current Deferred Liabilities
1,531.00
Non Current Deferred Taxes Liabilities
1,531.00
Other Non Current Liabilities
148.00
Preferred Securities Outside Stock Equity
1,270.00
Stockholders Equity
385.00
Common Stock Equity
385.00
Capital Stock
4.00
Common Stock
4.00
Share Issued
7.83
Ordinary Shares Number
7.83
Treasury Shares Number
0.00
Additional Paid In Capital
99.00
Retained Earnings
196.00
Gains Losses Not Affecting Retained Earnings
86.00
Minority Interest
104.00
Other Equity Adjustments
86.00
Total Equity Gross Minority Interest
489.00
Total Capitalization
5,083.00
Working Capital
1,065.00
Invested Capital
5,725.00
Total Debt
5,955.00
Net Debt
4,219.00
Capital Lease Obligations
615.00
Net Tangible Assets
-6,003.00
Tangible Book Value
-6,003.00
Preferred Shares Number
12.71
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
274.00
-47.81%
525.00
-42.87%
919.00
+373.71%
194.00
Cash Flow From Continuing Operating Activities
274.00
-47.81%
525.00
-42.87%
919.00
+373.71%
194.00
Net Income From Continuing Operations
-2,398.00
-91.84%
-1,250.00
-1229.79%
-94.00
+96.29%
-2,532.00
Depreciation Amortization Depletion
398.00
+3.92%
383.00
-5.90%
407.00
-15.38%
481.00
Depreciation
134.00
+48.89%
90.00
-11.76%
102.00
-35.44%
158.00
Amortization Cash Flow
264.00
-9.90%
293.00
-3.93%
305.00
-5.57%
323.00
Depreciation And Amortization
398.00
+3.92%
383.00
-5.90%
407.00
-15.38%
481.00
Amortization Of Intangibles
264.00
-9.90%
293.00
-3.93%
305.00
-5.57%
323.00
Other Non Cash Items
104.00
+10300.00%
1.00
-96.00%
25.00
+139.06%
-64.00
Stock Based Compensation
16.00
-50.00%
32.00
-39.62%
53.00
-11.67%
60.00
Asset Impairment Charge
2,407.00
+62.64%
1,480.00
+353.99%
326.00
-89.42%
3,081.00
Deferred Tax
-230.00
-9.00%
-211.00
-363.75%
80.00
+566.67%
12.00
Deferred Income Tax
-230.00
-9.00%
-211.00
-363.75%
80.00
+566.67%
12.00
Operating Gains Losses
35.00
-40.68%
59.00
+391.67%
12.00
+102.09%
-575.00
Gain Loss On Investment Securities
40.00
-33.33%
60.00
-1.64%
61.00
+210.91%
-55.00
Gain Loss On Sale Of PPE
-5.00
-400.00%
-1.00
+99.12%
-113.00
+78.27%
-520.00
Change In Working Capital
-58.00
-287.10%
31.00
-71.82%
110.00
+140.89%
-269.00
Change In Receivables
104.00
-27.78%
144.00
+300.00%
36.00
-70.97%
124.00
Changes In Account Receivables
104.00
-27.78%
144.00
+300.00%
36.00
-70.97%
124.00
Change In Inventory
112.00
+500.00%
-28.00
-110.89%
257.00
+1.18%
254.00
Change In Prepaid Assets
121.00
+80.60%
67.00
-1.47%
68.00
-33.33%
102.00
Change In Payables And Accrued Expense
-395.00
-159.87%
-152.00
+39.44%
-251.00
+66.49%
-749.00
Change In Accrued Expense
-306.00
-537.50%
-48.00
+77.88%
-217.00
+28.38%
-303.00
Change In Payable
-89.00
+14.42%
-104.00
-205.88%
-34.00
+92.38%
-446.00
Change In Account Payable
-89.00
+14.42%
-104.00
-205.88%
-34.00
+92.38%
-446.00
Investing Cash Flow
-245.00
-8.89%
-225.00
-316.67%
-54.00
-108.99%
601.00
Cash Flow From Continuing Investing Activities
-245.00
-8.89%
-225.00
-316.67%
-54.00
-108.99%
601.00
Net PPE Purchase And Sale
12.00
+100.00%
6.00
-97.12%
208.00
-70.45%
704.00
Sale Of PPE
12.00
+100.00%
6.00
-97.12%
208.00
-70.45%
704.00
Capital Expenditure
-249.00
-5.51%
-236.00
+31.20%
-343.00
-9.58%
-313.00
Capital Expenditure Reported
-249.00
-5.51%
-236.00
+31.20%
-343.00
-9.58%
-313.00
Net Investment Purchase And Sale
0.00
-100.00%
7.00
-88.14%
59.00
+353.85%
13.00
Purchase Of Investment
0.00
0.00
+100.00%
-179.00
0.00
Sale Of Investment
0.00
-100.00%
7.00
-97.06%
238.00
+1730.77%
13.00
Net Business Purchase And Sale
0.00
0.00
+100.00%
-41.00
0.00
Purchase Of Business
0.00
0.00
+100.00%
-41.00
0.00
Gain Loss On Sale Of Business
0.00
0.00
-100.00%
64.00
0.00
Net Other Investing Changes
-8.00
-300.00%
-2.00
-103.17%
63.00
-68.02%
197.00
Financing Cash Flow
1,064.00
+313.65%
-498.00
+50.69%
-1,010.00
-1302.78%
-72.00
Cash Flow From Continuing Financing Activities
1,064.00
+313.65%
-498.00
+50.69%
-1,010.00
-1302.78%
-72.00
Net Issuance Payments Of Debt
1,116.00
+353.64%
-440.00
+55.60%
-991.00
-4819.05%
21.00
Issuance Of Debt
1,986.00
-1.39%
2,014.00
+58.96%
1,267.00
-58.17%
3,029.00
Repayment Of Debt
-870.00
+64.55%
-2,454.00
-8.68%
-2,258.00
+24.93%
-3,008.00
Long Term Debt Issuance
1,986.00
-1.39%
2,014.00
+58.96%
1,267.00
-58.17%
3,029.00
Long Term Debt Payments
-870.00
+64.55%
-2,454.00
-8.68%
-2,258.00
+24.93%
-3,008.00
Net Long Term Debt Issuance
1,116.00
+353.64%
-440.00
+55.60%
-991.00
-4819.05%
21.00
Net Common Stock Issuance
0.00
0.00
Common Stock Payments
0.00
0.00
Common Stock Dividend Paid
-1.00
+75.00%
-4.00
+50.00%
-8.00
+33.33%
-12.00
Cash Dividends Paid
-1.00
+75.00%
-4.00
+50.00%
-8.00
+33.33%
-12.00
Repurchase Of Capital Stock
0.00
0.00
Net Other Financing Charges
-51.00
+5.56%
-54.00
-390.91%
-11.00
+86.42%
-81.00
Changes In Cash
1,093.00
+652.02%
-198.00
-36.55%
-145.00
-120.06%
723.00
Effect Of Exchange Rate Changes
17.00
+213.33%
-15.00
-275.00%
-4.00
+88.24%
-34.00
Beginning Cash Position
923.00
-18.75%
1,136.00
-11.60%
1,285.00
+115.60%
596.00
End Cash Position
2,033.00
+120.26%
923.00
-18.75%
1,136.00
-11.60%
1,285.00
Free Cash Flow
25.00
-91.35%
289.00
-49.83%
576.00
+584.03%
-119.00
Interest Paid Supplemental Data
414.00
-9.61%
458.00
-2.76%
471.00
+5.37%
447.00
Income Tax Paid Supplemental Data
106.00
-30.72%
153.00
+42.99%
107.00
-62.32%
284.00
Earnings Losses From Equity Investments
1.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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