EV/EBITDA
Updated 296h ago
Sector Performance
21th percentileFOXA
7.9x
Sector Median
13.7x
Sector Avg
18.7x
Deep Analysis
The current EV/EBITDA of 7.9x means that FOXA’s enterprise value is 7.9 times its earnings before interest, taxes, depreciation, and amortization — a measure of valuation relative to operating cash flow.
This is well below the sector median of 13.9x, placing FOXA in the 19th percentile among peers, indicating it trades at a lower multiple than most comparable companies. Trend data shows a year-over-year change that is not available, but the quarter-over-quarter change is +6.8%, meaning the multiple has risen from 7.4x to 7.9x in the last quarter. The combination of a low valuation level with a rising trend suggests that while the stock remains cheap relative to its sector, recent upward momentum may indicate improving investor sentiment or expectations. This does not clearly contradict the overall NEUTRAL verdict, as the low multiple supports a potential value opportunity, yet the upward move warns of shifting conditions that warrant caution.
Frequently Asked Questions
What does the EV/EBITDA tell investors about FOXA?
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 FOXA'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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7.9x
Sector Median
13.7x
Sector Avg
18.7x
How FOXA's EV/EBITDA compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.