The Bid & Ask

Quotations, Dispatches, and the Daily Tape

Friday, August 14, 2026

Subject of the day

UAA

Concerning the House

Under Armour, Inc., together with its subsidiaries, engages designs, developing, marketing, and distributing performance apparel, footwear, and accessories for men, women, and youth. The company provides its apparel in compression, fitted, and loose fit types. It also offers footwear products for running, training, basketball, cleated sports, recovery, and outdoor applications, as well as for casual use. In addition, the company provides accessories, which include gloves, bags, headwear, and socks. It primarily offers its products under the UNDER ARMOUR, ARMOUR, HEATGEAR, COLDGEAR, HOVR, UA, PROTECT THIS HOUSE, I WILL, ARMOUR FLEECE, and ARMOUR BRA brands. The company sells its products through wholesale channels, including national and regional sporting goods chains, independent and specialty retailers, department store chains, mono-branded Under Armour retail stores, institutional athletic departments, and leagues and teams, as well as independent distributors; and directly to consumers through its own brand and factory house retail stores and e-commerce websites. It operates in the United States, Canada, Europe, the Middle East, Africa, the Asia-Pacific, and Latin America. The company was incorporated in 1996 and is headquartered in Baltimore, Maryland.

United States · www.underarmour.com

The Long Run

FY 2010–2025 · 15 years

LineLatestCAGRTrend
Revenue$5.90B+13.0%
Gross profit$2.47B+11.6%
Operating income-$185.22M+4.7%
Net income$374.46M+20.8%
Cash from ops-$59.32M+14.1%
Quotation

$5.35

+0.09 (+1.7%)

52w hi$8.14
52w lo$4.17
Vol9.45M
As ofAug 13
The Verdict

Hold

Our score -0.44

Short+0.07
Medium-0.60
Long-1.17

computed 2026-08-13

By the Numbers

Under Armour, Inc.

Consumer Cyclical · Apparel Manufacturing

Market cap$2.30B
Enterprise value$3.24B
Trailing P/E
Forward P/E27.25x
EV / EBITDA13.33x
P / S (ttm)0.47x
Profit margin-10.0%
Return on equity-29.8%
Revenue growth-3.2%
Earnings growth
Debt / equity96.36
Risk Metrics
Beta vs SPX1.23
Corr SPX0.35
Annual vol57.3%
Annual ret-1.9%
Sharpe-0.03
Max DD-62.5%

Window: 504 trading days (504 obs)

Layer Breakdown
LayerRawContribution
Fundamental-0.19
Sector+0.01
Technical-0.04
Earnings+0.00
Sentiment+0.07

macro × 1.00 · 2026-08-13

Recent Sessions
DateOpenHighLowCloseVol
Aug 13$5.35$5.43$5.30$5.359.45M
Aug 12$5.35$5.38$5.20$5.269.50M
Aug 11$5.60$5.67$5.33$5.3416.07M
Aug 10$6.09$6.09$5.60$5.8718.47M
Aug 7$6.10$6.31$5.70$6.1115.96M