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Help me set up FinLab and analyze LYV Live Nation Entertainment, Inc.. Please read: https://finlab.finance/en/setup?stock=LYV

LYV

Live Nation Entertainment, Inc. Communication Services As of 2026-07-31 Updated daily after market close

quality needs a look, discounted valuation.

This page refreshes daily after the close. Add Live Nation Entertainment, Inc. to your watchlist to track signal changes on your next visit.
Valuation 85Quality 38Growth 40Momentum 63Risk / liquidity 85

Is Live Nation Entertainment, Inc. a buy? Fundamentals and valuation first

  • Quality is weaker than peers. Operating margin is only around the 47th percentile. TTM ROE is about -60.0%.

  • Valuation is cheaper than most peers. TTM P/E is in the 3th percentile, lower than most liquid US common stocks.

  • Recent volatility is comparatively low. 60-day annualized volatility is in the 26th percentile. Average 20-day dollar volume is about $358.3M.

  • Signals are active now. Filed revenue acceleration, EPS surprise beat currently holds; the tables below show what followed in this stock’s own history.

Historical evidence

Signals active now

Each active condition is tested against this stock’s own history and benchmarked versus the S&P 500.

Filed revenue acceleration

Active · now 12.639977468765906%

TTM revenue growth is at least 10% and improved versus the prior filed quarter; event date is the SEC filing date.

5 historical occurrences (since 2018-05-03)
Average forward return after Filed revenue acceleration。20-day: Win 100%, Sample 5, Median +4.44%, Excess +1.08%, Beat mkt rate 80%;60-day: Win 80%, Sample 5, Median +0.95%, Excess +2.7%, Beat mkt rate 80%

60 days after: historical avg +2.58%

20-day +3.74%
60-day +2.58%
20-day
60-day
Win
100%
80%
Sample
5
5
Median
+4.44%
+0.95%
Excess
+1.08%
+2.7%
Beat mkt rate
80%
80%

Over 5 occurrences, 60-day forward avg gained 2.58%, beat the market by 2.7 pts; win rate 80%.

EPS surprise beat

Active · now 58.85022692889561%

Reported EPS beat consensus estimate by at least 5%; event date is the earnings-surprise timestamp.

20 historical occurrences (since 2016-05-03)
Average forward return after EPS surprise beat。20-day: Win 63.2%, Sample 19, Median +2.68%, Excess +1.32%, Beat mkt rate 52.6%;60-day: Win 84.2%, Sample 19, Median +6.41%, Excess +3.9%, Beat mkt rate 68.4%;120-day: Win 73.7%, Sample 19, Median +8.95%, Excess +5.16%, Beat mkt rate 57.9%

120 days after: historical avg +10.67%

20-day +2.44%
60-day +7.05%
120-day +10.67%
20-day
60-day
120-day
Win
63.2%
84.2%
73.7%
Sample
19
19
19
Median
+2.68%
+6.41%
+8.95%
Excess
+1.32%
+3.9%
+5.16%
Beat mkt rate
52.6%
68.4%
57.9%

Over 19 occurrences, 120-day forward avg gained 10.67%, beat the market by 5.16 pts; win rate 73.7%.

Valuation regime and forward returns

Daily TTM P/E is converted into an expanding own-history percentile, then grouped into five valuation regimes. Forward returns use adjusted prices over the next 240 trading days.

PE percentile bandSample days240-day avg returnMedianWin rateAvg excess (vs index)
0-20 0Insufficient data
20-40 0Insufficient data
40-60 0Insufficient data
60-80 You are here0Insufficient data
80-100 0Insufficient data

Quarterly EPS is aligned by SEC filing date before it is forward-filled to daily prices. The expanding percentile uses only information available up to each day.

Current TTM P/E is about 113.29, placing it in the 68.4 own-history percentile, inside the 60-80 bucket.

Valuation × momentum analogs

Each historical day is grouped by own-history P/E tercile and 60-day momentum direction, then tested for the next 120-trading-day adjusted return.

Valuation
Momentum
Cheap (own-history bottom third)
Middle
Expensive (own-history top third)
60-day momentum up
-5.1%
Win rate 6.3% Excess -15.6%
63d
Insufficient data
(0d)
Now
Insufficient data
(0d)
60-day momentum down
Insufficient data
(16d)
Insufficient data
(0d)
Insufficient data
(0d)

Days = trading days in this bucket; returns use adjusted prices, ex-costs. 60-day momentum: direction of this stock's price over the past 60 trading days.

Market-wide momentum baseline

Across 97,878 liquid US common-stock samples, top-quintile 6-month momentum was followed by an average 60-trading-day return of +6.26%, a 58.3% positive-return rate, and +2.90 percentage points of average excess return versus the S&P 500.

Baseline: weekly samples since 2016 where a liquid US common stock ranked in the top quintile by 126-trading-day momentum. Forward return is 60 trading days; excess return is versus S&P 500 (^GSPC).

Signals not active now

Inactive signals still show the stock-specific historical forward-return distribution for context.

52-week adjusted-price high

Pending

Adjusted close first reaches a 252-trading-day high; repeated hits within 20 days count once.

23 times historically; 60-day forward avg -2.09%, win rate 54.5%, beating the market by -1.35 pts on average.

Top-quintile 6-month momentum

Pending

The stock ranks in the top 20% of the liquid US common-stock universe by 126-day adjusted return.

24 times historically; 60-day forward avg +7.55%, win rate 75%, beating the market by +3.21 pts on average.

Method and limits

  • Returns use us_price:adj_close, adjusted for splits and dividends where available.
  • Excess returns use world_index:^GSPC as the S&P 500 benchmark proxy.
  • Quarterly fundamentals are aligned to SEC filing dates before daily valuation studies.
  • The promoted universe starts from active NYSE/NASDAQ common stocks, then applies price and dollar-volume gates.
  • Snapshot-only tables such as analyst consensus, DCF, us_ratios, and us_key_metrics are intentionally excluded from historical evidence.
  • Overlapping event windows are descriptive distributions, not independent samples.

This page is for historical data analysis and education only. It is not investment advice. Backtests and historical return distributions do not predict future performance; evaluate risk independently before trading.