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abercrombie and fitch stock guide

abercrombie and fitch stock guide

This guide explains abercrombie and fitch stock (ticker ANF): what the company does, how and where the shares trade, key financial metrics, major drivers and risks, and where investors can find up‑...
2024-07-09 04:24:00
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Abercrombie & Fitch Co. (ANF) — Stock

abercrombie and fitch stock refers to the common equity of Abercrombie & Fitch Co., traded on the New York Stock Exchange under the ticker ANF. This article gives a comprehensive, beginner‑friendly overview of abercrombie and fitch stock: company background, listing details, price history, financial metrics, earnings cadence, ownership and corporate actions, analyst coverage, key market drivers, investor risks, trading instruments, regulatory resources, and practical next steps for following or trading ANF. Readers will learn where to find authoritative quotes and filings and how market events typically affect abercrombie and fitch stock.

Company background

Abercrombie & Fitch Co. is a U.S. consumer apparel retailer operating multiple lifestyle brands, most notably Abercrombie & Fitch and Hollister. The company designs, markets, and sells casual wear, accessories and personal care products targeted mainly at teens and young adults. abercrombie and fitch stock represents ownership in a business that combines retail stores, e‑commerce, and licensing in North America and across international markets.

The firm traces its modern retail strategy to brand repositioning and omnichannel investments in the 2010s. Management has focused on revitalizing store experiences, expanding digital sales, and broadening product assortments to compete in a highly competitive apparel market. For investors, abercrombie and fitch stock is a way to gain exposure to specialty retailing and branded apparel trends tied to youth consumer spending.

Listing and identifiers

  • Exchange and ticker: abercrombie and fitch stock trades on the New York Stock Exchange under the ticker ANF.
  • Share class: ANF is traded as common stock. There are no widely listed alternate public share classes for retail investors.
  • Identifiers: Official identifiers such as the company CUSIP and ISIN are published in SEC filings and by major market data providers; investors seeking those numeric identifiers should consult the company’s investor relations page or regulatory filings for the authoritative codes.
  • Real‑time quotes and filings: For live price quotes, market depth, and official investor materials (earnings releases, 10‑Q/10‑K, proxy statements), consult the company investor relations resources and major financial data platforms. To trade abercrombie and fitch stock, investors may use their brokerage or Bitget’s trading platform for U.S. equities exposure.

Stock price and historical performance

Price history

abercrombie and fitch stock has experienced cycles typical of consumer retail: periods of strong appreciation tied to successful brand refreshes and e‑commerce growth, and multi‑year declines or volatility during periods of weaker sales, store weakness or broader retail sector selloffs.

Long‑term investors often review multi‑year charts to see how ANF responded to events such as economic downturns, changes in consumer spending, retail sector rotations, and company strategic shifts. Historical high and low price points are available through market data providers and can show the range of investor sentiment over time.

Where to access historical charts: major finance sites and brokerage platforms provide interactive historical price charts, adjusted for dividends and splits, and downloadable price series for further analysis.

Recent performance and volatility

Recent short‑term moves in abercrombie and fitch stock are typically driven by the company’s quarterly sales and margin results, management guidance, broader retail sector flows, and macroeconomic indicators that influence consumer spending. Intraday volatility often reflects reactions to earnings surprises, analyst revisions, and headlines about supply chain or tariff developments.

As of 2024‑06‑01, per Yahoo Finance and Morningstar, abercrombie and fitch stock had a market capitalization in the low billions and average daily trading volume in the low millions; these figures change frequently and should be verified on live quote pages for current values. Volatility metrics such as beta and implied volatility for options are available from market data providers and are useful for short‑term traders assessing risk.

Key financial metrics and valuation

Investors use a set of core metrics when analyzing abercrombie and fitch stock:

  • Market capitalization: total equity market value, used to size the company relative to peers.
  • Revenue and revenue growth: top‑line trends, same‑store sales (comps) and online sales growth are central for retail shares.
  • Earnings per share (EPS) and adjusted EPS: profitability measures used to calculate price‑to‑earnings multiples.
  • Price‑to‑Earnings (P/E) ratio: common value signal comparing price to earnings.
  • Gross margin and operating margin: indicate product mix, sourcing and cost control effectiveness.
  • Free cash flow and cash on hand: liquidity indicators for funding operations and capital returns.

Valuation approaches commonly applied to abercrombie and fitch stock include:

  • Comparable multiples: P/E, EV/EBITDA and EV/Sales compared to peer apparel retailers and specialty stores.
  • Discounted cash flow (DCF): projecting free cash flow and discounting to present value based on required rates of return.
  • Sum‑of‑the‑parts: when separate brands contribute materially different margin profiles, analysts may value brands or segments individually.

Up‑to‑date numeric values for market cap, EPS, revenue and P/E are published in quarterly filings and on major finance portals. Analysts publish target prices and fair‑value estimates that synthesize these approaches; investors should consult multiple sources and the company’s SEC filings for the definitive historical financials.

Earnings, guidance and corporate reporting

abercrombie and fitch stock follows a quarterly earnings cadence aligned to the company’s fiscal calendar. Quarterly reports typically include revenue, same‑store sales or comparable sales, gross margin, operating income, EPS and commentary on inventory, supply chain and promotional activity.

Management guidance or updated outlooks—when provided—can strongly move abercrombie and fitch stock. Positive surprises to revenue or margin typically lift the shares, while revenue shortfalls, margin compression, or weak guidance tend to pressure the stock price.

Investors should focus on:

  • Same‑store sales trends: a key retail metric reflecting demand at established locations.
  • Inventory levels and inventory‑to‑sales ratios: potential indicators of markdown risk.
  • Margin drivers: product mix, sourcing costs and promotional strategies.
  • Capital allocation commentary: plans for buybacks, dividends, or reinvestment.

Earnings press releases, the accompanying investor presentations, and the company’s 10‑Q and 10‑K filings are the primary authoritative sources for these data points.

Ownership, insider activity and share structure

Institutional ownership typically represents a substantial share of abercrombie and fitch stock float. Major institutional investors often include large asset managers and mutual funds, which can result in concentrated positions that influence trading volume and volatility.

Insider transactions (executive purchases or sales) and option exercises by management are disclosed in SEC Form 4 filings. Notable insider buying or selling can be material to investor sentiment but must be interpreted in context of compensation programs and liquidity needs.

Share count and float: the total shares outstanding and the public float are disclosed in company filings and adjusted on financial data platforms. Any treasury shares, reverse splits, or share repurchase programs are reported in filings and investor presentations.

Share repurchase programs: when active, buybacks reduce share count and can support earnings per share growth; the company announces program size and execution cadence in investor updates and filings.

Dividends, buybacks and corporate actions

Dividend history: Historically, Abercrombie & Fitch Co. has prioritized reinvestment in the business and share repurchases over a consistent dividend, and dividend policies can change with strategic priorities. Investors should verify the latest dividend declarations in the most recent 10‑K/10‑Q or press releases.

Buybacks and capital returns: the company may authorize share repurchase programs. When active, such programs are disclosed with program size and use of cash statements in filings. Stock splits, if enacted, are announced to shareholders through press releases and recorded in the transfer agent records.

Corporate actions such as spinoffs, mergers, or significant restructurings are typically disclosed in advance with details on shareholder impact and record dates. These actions can materially impact abercrombie and fitch stock valuation and liquidity.

Analyst coverage, ratings and market sentiment

abercrombie and fitch stock is covered by sell‑side analysts and independent research firms. Analyst reports usually provide revenue and EPS estimates, target prices and a recommendation (buy/hold/sell). Consensus ratings and target price medians are aggregated by financial data services.

Market sentiment is also reflected in short interest, options positioning and media coverage. When earnings or strategic updates diverge from consensus, analyst revisions can amplify price moves in abercrombie and fitch stock.

Where to find research: brokerage research portals, major financial news outlets and data aggregators provide analyst summaries and historical target price data. Always cross‑check analyst notes against company filings for modeling assumptions.

Major market drivers and news events

Key news items and event types that move abercrombie and fitch stock include:

  • Quarterly earnings and management guidance: the principal near‑term driver.
  • Same‑store sales and e‑commerce growth rates: signals of brand traction.
  • Inventory and margin commentary: affects profitability expectations.
  • Supply chain and tariff developments: import/export costs or delays can alter margins.
  • Brand launches, collaborations or marketing campaigns: can influence demand.
  • Macro indicators affecting consumer spending: employment, wage trends, and consumer confidence.

Examples of material headlines that historically influenced ANF include strong digital sales quarters, announcements of large share repurchase programs, and quick reactions to inventory markdown needs. As of 2024‑06‑01, market coverage of abercrombie and fitch stock highlighted its multi‑brand strategy and margin recovery initiatives in recent earnings releases.

Risks and considerations for investors

Principal risks when assessing abercrombie and fitch stock:

  • Consumer cyclicality: discretionary apparel demand falls during economic slowdowns.
  • Fashion and brand risk: consumer tastes are volatile; missteps can erode sales.
  • Competition: numerous apparel players and fast‑fashion entrants compete on price and trend agility.
  • Supply chain and sourcing: disruptions, freight cost inflation, or tariffs can compress margins.
  • Inventory risk: excess inventory can force markdowns and profit erosion.
  • Liquidity and volatility: smaller mid‑cap retail names can exhibit outsized moves on news.

Trading risks:

  • Short‑term volatility: earnings or guidance surprises can create rapid price swings.
  • Bid/ask spreads: during low liquidity periods, trading costs can increase.

Investors should combine fundamental analysis with risk management practices and consider diversification when holding abercrombie and fitch stock.

Trading instruments and markets

Ways to gain exposure to abercrombie and fitch stock:

  • Direct equity purchase: buy ANF shares through a brokerage or via Bitget’s U.S. equities offering where available.
  • Options: listed options on ANF allow strategies for hedging, income or directional exposure (requires options‑approved account).
  • ETFs and mutual funds: some retail‑focused or consumer discretionary ETFs may hold ANF as part of broader retail exposure.

Trading hours and liquidity basics:

  • Regular U.S. equity market hours: investors should be aware of pre‑market and after‑hours sessions for news that can move abercrombie and fitch stock outside regular hours.
  • Average daily volume and bid/ask spreads: check live market data for current liquidity; lower liquidity can widen spreads and affect execution.

For traders seeking a streamlined interface and liquidity, Bitget offers trading services and integrated tools. For wallet or Web3 interactions (if linking equities to digital solutions), consider Bitget Wallet as a recommended option for custody and connectivity.

Regulatory, legal and governance matters

The SEC’s EDGAR database contains the company’s 10‑K (annual report), 10‑Q (quarterly reports), and current reports (8‑K) for material events. Proxy statements provide governance details, executive compensation and shareholder meeting materials. These filings are the legal record for corporate disclosures affecting abercrombie and fitch stock.

Material legal or regulatory matters—such as litigation, intellectual property disputes, or regulatory enforcement—are disclosed in 8‑K filings when they are material to investors. Investors should monitor these filings for any items that could affect valuation or liquidity.

See also

  • Peer apparel retailers and specialty retail equities (compare P/E and margin profiles).
  • Abercrombie & Fitch brand pages and Hollister brand descriptions for product strategy context.
  • Retail sector indices and consumer discretionary ETF compositions for exposure comparisons.

References

  • Company investor relations materials and SEC filings (10‑K, 10‑Q, 8‑K). As of 2024‑06‑01, company filings remain the authoritative source for financial statements and corporate actions.
  • Yahoo Finance: real‑time quotes, market cap and trading volume summaries. As of 2024‑06‑01, Yahoo Finance reported abercrombie and fitch stock with market capitalization in the low billions and average daily volume in the low millions.
  • Morningstar and Simply Wall St: fundamental data, fair‑value estimates and analyst commentary used for peer comparisons.
  • Finviz and FinancialContent: snapshot metrics, volatility data and charts.
  • CNBC and CNN Markets: news coverage and analyst interviews that can drive intraday sentiment.

Note: readers should consult the original sources and the latest SEC filings for current numbers and material updates, since market data and corporate disclosures change continuously.

External links

  • Company investor relations page (search the company name + "investor relations" to find the official IR site).
  • Live market quotes and analyst pages on major financial data platforms for the latest pricing and consensus.

Further reading and next steps

If you want to monitor abercrombie and fitch stock closely, set up alerts on your trading platform for earnings releases, 8‑K filings, and analyst revisions. For trading execution and custody, consider Bitget for equities access and Bitget Wallet for secure digital asset management where relevant. Explore Bitget’s market tools to track live quotes, analyze historical performance, and execute trades efficiently.

As of 2024‑06‑01, per the sources above, market observers emphasized brand health, margin progress and inventory management as the clearest near‑term drivers of abercrombie and fitch stock. For exact, current metrics (market cap, P/E, analyst consensus), always verify on the company’s filings and live market platforms before making trading decisions.

Further explore Bitget features to follow equities and retail sector news, set watchlists for ANF, and access integrated trading tools to monitor abercrombie and fitch stock in real time.

The content above has been sourced from the internet and generated using AI. For high-quality content, please visit Bitget Academy.
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