LYVCAUTIOUS

EV/EBITDA

30.7x

Updated 248h ago

Sector Performance

88th percentile

LYV

30.7x

Sector Median

13.7x

Sector Avg

18.7x

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Deep Analysis

Enterprise value to EBITDA (EV/EBITDA) measures how many years of pre-tax operating profit it would take to buy the entire company, including debt; a multiple of 30.7x means investors are paying a high premium relative to earnings.

Compared to the sector median of 13.9x, LYV sits in the 89th percentile among peers, indicating it is far more expensive than most. The metric has been stable over the last eight quarters, with a year-over-year change not available and a quarter-over-quarter increase of only +0.4%. This combination of a very high valuation and a flat trend suggests limited upside potential and elevated downside risk if earnings fail to meet expectations. The elevated multiple already prices in strong future performance, leaving little room for error. This directly supports the overall CAUTIOUS verdict, as the stock appears richly valued relative to its sector without any improving momentum to justify the premium.

Frequently Asked Questions

What does the EV/EBITDA tell investors about LYV?

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 LYV'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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LYV

30.7x

Sector Median

13.7x

Sector Avg

18.7x

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

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