P/E Ratio
Higher than 23% of Technology sector peers
Updated 18h ago
Sector Performance
23th percentileBR
16.0x
Sector Median
41.4x
Sector Avg
56.3x
Deep Analysis
The P/E ratio (price-to-earnings) compares the stock price to its earnings per share; a lower ratio can indicate a stock is undervalued relative to its earnings.
At 16.0x, Broadridge trades well below the Technology sector median of 41.4x, placing it in the 23rd percentile among peers. The metric has been perfectly stable over the last eight quarters, with a year-over-year change of +0.0% and a quarter-over-quarter change of +0.0%. A low P/E combined with no movement suggests the stock is priced for steady, predictable earnings growth rather than high expectations—limiting downside risk but also offering little re-rating upside. This stable, below-median valuation supports the overall NEUTRAL verdict, as the stock is neither cheap enough to signal a compelling bargain nor expensive enough to indicate overvaluation.
Frequently Asked Questions
What does the P/E Ratio tell investors about BR?
Measures how much investors pay per dollar of earnings. A high P/E signals growth expectations; a low P/E may indicate undervaluation or slow growth.
How is the P/E Ratio calculated?
P/E Ratio is calculated as: Price / EPS.
How does BR's P/E Ratio compare to its sector?
BR's P/E Ratio of 16.0x compares to a Technology sector median of 41.4x, placing it in the 23th percentile.
Who are BR's closest peers by P/E Ratio?
The closest Technology peers by P/E Ratio include: APH (37.6x), AAPL (35.6x), ORCL (32.8x), MNDY (29.6x), MSFT (24.1x).
The Formula
Price / EPS
Why It Matters
Measures how much investors pay per dollar of earnings. A high P/E signals growth expectations; a low P/E may indicate undervaluation or slow growth.
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16.0x
Sector Median
41.4x
Sector Avg
56.3x
How BR's P/E Ratio compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.