Ferrari N.V.

$333.09

up-down-arrow $3.83 (1.16%)

As on 13-May-2026 16:14EDT

Market cap

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$58,069 Mln

Revenue (TTM)

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$7,210 Mln

P/E Ratio

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31.1

P/B Ratio

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12.6

Div. Yield

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1.3 %

Value Research Rating

--

Quality Score fund-quick-summary-circle

Quality Score/10

Growth Score fund-quick-summary-circle

Growth Score/10

Valuation Score fund-quick-summary-circle

Valuation Score/10

Momentum Score fund-quick-summary-circle

Momentum Score/10

Ferrari N.V. Share Price

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High:loading Low:loading Return: loading

Max:loading Min:loading Median:loading

Max:loading Min:loading Median:loading

Stock Range

Today’s Range

Low: 324.09 High: 334.12

52 Week Range

Low: 312.51 High: 519.10

Liquidityliquidity

Low Moderate High

Fundamentals

  • Net Profit (TTM)Net Profit (TTM) information

    $0 Mln

  • ROEROE information

    0.4 %

  • ROCEROCE information

    23.4 %

  • Industry P/EIndustry P/E information

    --

  • EV/EBITDAEV/EBITDA information

    18.6

  • Debt to EquityDebt to Equity information

    --

  • Book ValueBook Value information

    $--

  • EPSEPS information

    $9

  • Face valueFace value information

    --

  • Shares outstandingShares outstanding information

    176,362,009

10 Years Aggregate

CFO

€10,282.48 Mln

EBITDA

€12,479.81 Mln

Net Profit

€6,587.08 Mln

Performance

Company
YTD
1 Month
3 Months
1 Year
3 Years
5 Years
10 Years
Ferrari N.V.
-9.9 -5.3 -14.9 -31.8 4.0 11.2 22.7
BSE Sensex*
-11.0 -1.9 -8.7 -7.1 6.7 9.1 11.5
S&P 100
7.3 11.2 10.1 31.0 25.0 15.0 15.0
As on 13-May-2026  |  *As on 14-May-2026
Company
2025
2023
2022
2021
2020
2019
Ferrari N.V.
-13.0 58.0 -16.7 13.3 39.7 67.9
S&P 100
18.7 30.8 -22.1 27.6 19.3 29.5
BSE Sensex
9.1 18.7 4.4 22.0 15.8 14.4

Essential Checks

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Is there a threat to the company's solvency?

Can creative accounting be detected through the financial numbers?

How did the company perform in the last one year?

Financials

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*All values are in (€ Mln)

*All values are in (€ Mln)

*All values are in (€ Mln)

Key Ratios

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5Y Avg -- 3Y Avg -- TTM --

P/E Ratio

--

--Min --Median --Max

P/B Ratio

--

--Min --Median --Max

Earnings Yield (%)

--

Earnings Yield (%) = EBIT / Enterprise value

PEG Ratio

--

Price = Price / Earnings to growth ratio

Shareholding Pattern

View Details
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About Ferrari N.V.

Ferrari N.V., through its subsidiaries, engages in design, engineering, production, and sale of luxury performance sports cars worldwide. It offers sports, track, one-off, and road cars, as well as supercars. The company also provides spare parts and...  engines, as well as after sales, repair, maintenance, and restoration services for cars; and licenses its Ferrari brand to various producers and retailers of luxury and lifestyle goods. In addition, it operates Ferrari museums in Modena and Maranello; Il Cavallino restaurant in Maranello; and theme parks in Abu Dhabi and Spain. Further, the company provides direct or indirect finance and leasing services; range of financial and ancillary services; special financing arrangements; and operates franchised and owned Ferrari stores. The company was founded in 1947 and is headquartered in Maranello, Italy. Address: Via Abetone Inferiore n. 4, Maranello, MO, Italy, 41053  Read more

  • Executive Chairman

    Mr. John Jacob Philip Elkann

  • Executive Chairman

    Mr. John Jacob Philip Elkann

  • Headquarters

    Maranello, MO

  • Website

    https://www.ferrari.com

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FAQs for Ferrari N.V.

The share price of Ferrari NV is $333.09 (NYSE) as of 13-May-2026 16:14 EDT. Ferrari NV has given a return of 3.98% in the last 3 years.

The P/E ratio of Ferrari NV is 31.06 times as on 12-May-2026.


PE & PB ratio at the end of financial year.


Year P/E Ratio P/B Ratio
2025
41.27
16.87
2024
50.09
21.57
2023
48.89
20.00
2022
41.87
15.06
2021
57.38
21.61

The 52-week high and low of Ferrari NV are Rs 519.10 and Rs 312.51 as of 14-May-2026.

Ferrari NV has a market capitalisation of $ 58,069 Mln as on 12-May-2026. As per SEBI classification, it is a Large Cap company.

Before investing in Ferrari NV, assess your goals, risk tolerance, and if the company aligns with your long-term plan. Carefully review its business model, financials, and valuation. Avoid making decisions based on tips or short-term trends.

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