EIXNEUTRAL

EV/EBITDA

8.6x

Updated 318h ago

Sector Performance

24th percentile

EIX

8.6x

Sector Median

13.7x

Sector Avg

18.4x

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Deep Analysis

EV/EBITDA (enterprise value divided by earnings before interest, taxes, depreciation, and amortization) measures how many years of cash profits it would take to buy the entire company.

At 8.6x, the stock trades well below the sector median of 14.4x, placing it in the 18th percentile among peers—meaning 82% of comparable companies have a higher multiple. No trend data is available: the year-over-year change is N/A, the quarter-over-quarter change is N/A, and there are no values for the last eight quarters. The combination of a low multiple with no trend information suggests the stock may be undervalued relative to peers, but the absence of historical movement prevents any assessment of whether the discount is narrowing or widening. This metric supports the overall NEUTRAL verdict: the cheap valuation offers a potential opportunity, but the lack of trend data and an unchanged 8.6x reading provide no clear catalyst for a bullish or bearish shift.

Frequently Asked Questions

What does the EV/EBITDA tell investors about EIX?

A valuation multiple preferred by analysts for capital-intensive or leveraged businesses. Useful for cross-sector comparisons where earnings can be distorted by debt.

How is the EV/EBITDA calculated?

EV/EBITDA is calculated as: Enterprise Value / EBITDA.

Who are EIX's closest peers by EV/EBITDA?

The closest peers by EV/EBITDA include: LSPD (-24.2x), BRZE (-24.5x), EVGO (-25.7x), NIO (-36.8x), SNAP (-38.8x).

The Formula

Enterprise Value / EBITDA

Why It Matters

A valuation multiple preferred by analysts for capital-intensive or leveraged businesses. Useful for cross-sector comparisons where earnings can be distorted by debt.

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EIX

8.6x

Sector Median

13.7x

Sector Avg

18.4x

How EIX's EV/EBITDA compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.