QVC Group Inc
Rank #101DeclineQVCAQ · Consumer Cyclical
QVC Group Inc (QVCAQ) — Rank #101 by gross profitability (GP/assets 0.45) · ROE 63.9% · Piotroski F-Score N/A.
As-of 2026-09-15 · CIK 0001355096 · all metrics point-in-time as of the filing date.
About
QVC Group Inc., together with its subsidiaries, engages in the video and online commerce industries in North America, Europe, and Asia.
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The company produces 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 based in West Chester, Pennsylvania. 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.
- Industry
- Internet Retail
- Sector
- Consumer Cyclical
- Filer Category
- Non-accelerated filer
- Fiscal Year End
- December 31
- Website
- qvcgrp.com
Price History
Company Snapshot
P/E, P/B, and dividend yield matter most — book value provides a floor.
Market Cap
$219.35K
P/E (annual)
—
P/S (annual)
0.0
P/B
—
P/OCF (annual)
0.0
Shareholder Yield
554.1%
Employees
16,900
Industry
Internet Retail
Exchange
—
Signal Flags
Quality Profile
Profitability
Safety
1/1 passCash Flow
3/3 passGrowth
1/2 passTerry Smith quality gate
Passes 0/5 Terry Smith thresholds2 of 5 thresholds not computable from filed data.
Disclosure regression check
4 previously-disclosed line items are no longer reported. Worth checking the filing for why.
Asset value and restructuring potential (balance-sheet strength) are the primary reads at this stage.
Profitability
Gross profitability (GP / assets)
0.45
Primary signal (Novy-Marx).
4th of 7 SIC 5961 peers
Return on equity
63.9%
Gross margin
34.3%
5th of 7 SIC 5961 peers
Revenue growth (YoY)
-11.3%
Gross margin improving
Margin trend vs prior year.
Operating Leverage
| 2018 | 2020 | 2021 | 2022 | |
|---|---|---|---|---|
| Revenue vs COGS | ||||
| Revenue vs OpEx | ||||
| Op. Income vs Revenue |
Growth
Revenue CAGR (3Y)
-8.6%
Revenue CAGR (5Y)
-8.2%
Earnings CAGR (3Y)
—
FCF CAGR (3Y)
—
Anti-fragile safety
Balance-sheet safety
Composite anti-fragile check.
Debt / equity
—
Current ratio
3.36×
1st of 7 SIC 5961 peers
Quick ratio
1.88×
Net cash
$1.37B
Cash & equivalents minus total debt.
Cash-flow health
Free cash flow
$118.00M
Operating cash flow minus capex.
Positive free cash flow
FCF / net income
1.05
Cash-backing of earnings.
FCF/NI divergence
Unfavorable divergence (yellow flag).
Accruals healthy
Cash-backed earnings.
SBC / revenue
0.2%
Stock-based comp intensity.
Dividend safety
Composite score
1.2 / 5
Piotroski F-Score
F-Score
N/A
Only 7/9 components determinable.