Torrid Holdings Inc. (CURV) Stock Score, Valuation & Financial Research

Torrid Holdings Inc. is in the Consumer Cyclical sector and Apparel - Retail industry. It is reviewed using Wall Street Score's company-strength, valuation, growth and financial-health framework. The current Wall Street Score is 19/100.

Quick answer for CURV

Torrid Holdings Inc. currently has a Wall Street Score of 19/100. The stored market price is $2.15. Its financial score is 20/100. Its valuation score is 0/100. The latest WSS change is +0.1 points. These figures are a research snapshot, not a buy or sell recommendation.

What Torrid Holdings Inc. does

Torrid Holdings Inc. is a North American retailer specializing in plus-size women's clothing and undergarments. The company oversees the complete product lifecycle, from conceptualization and development to merchandising, for its items marketed under the Torrid and Torrid Curve labels. Its diverse apparel collection encompasses shirts, pants, dresses, denim, activewear, lingerie, sleepwear, swimwear, and outerwear. In addition to clothing, Torrid also offers non-apparel items such as accessories, footwear, and beauty products. The company engages directly with consumers through its online e-commerce platform and a network of physical retail outlets. As of January 29, 2022, Torrid operated 624 stores distributed across all 50 U.S. states, Puerto Rico, and Canada. Torrid Holdings Inc. was established in 2019, with its main corporate office located in City of Industry, California.

CURV financial snapshot

Wall Street Score:
19/100
Current price:
$2.15
Market capitalization:
$214.0M
Revenue:
$948.8M
Net income:
$-8.9M
Free cash flow:
$-21.9M
Cash:
$22.0M
Total debt:
$417.5M
EPS:
-0.09
Financial score:
20/100
Valuation score:
0/100
Revenue score:
20/100

What stands out

  • Reported year-over-year revenue growth is -0.1%.
  • Free cash flow is $-21.9M, showing cash burn in the current stored period.
  • The balance sheet shows $22.0M of cash versus $417.5M of total debt, so leverage deserves attention.
  • The latest Wall Street Score change is +0.1 points: CURV increased 0.1 points because Management improved by 33.3 points.
  • The current research record carries a high debt stress warning, which should be reviewed alongside the score.

What the numbers mean

Its current valuation score is 0/100, which Wall Street Score classifies as weak within the model's valuation framework.

The financial score is 20/100. This is a starting point for reviewing liquidity, leverage and cash-flow strength rather than a stand-alone recommendation.

A strong company and an attractive stock price are not always the same thing. Revenue, earnings, free cash flow, debt, management quality, competitive advantage and valuation should be considered together. Wall Street Score organizes these inputs into a consistent research framework so investors can identify what deserves deeper review.

Data freshness: Financial data last refreshed 2026-09-17.

How to research CURV

Start by understanding how the company makes money. Then compare revenue and earnings trends, cash generation, debt, liquidity and valuation. Review the company's latest filings and earnings reports before acting on any score or model estimate.

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Data may change as company filings and market prices update. Educational research only; not a buy or sell recommendation.