MTCHNEUTRAL

MTCH PEG Ratio Analysis

0.33x

Updated 245h ago·SEC filings & market data

Key Takeaway

The PEG ratio of 0.33x means the stock’s price-to-earnings multiple is low relative to its expected earnings growth rate, often indicating potential undervaluation.

Sector Performance

24th percentile

MTCH

0.33x

Sector Median

0.97x

Sector Avg

2.92x

Prior Period

0.27x(Jun 2026)

↓ Declining
📊

Deep Analysis

The PEG ratio of 0.33x means the stock’s price-to-earnings multiple is low relative to its expected earnings growth rate, often indicating potential undervaluation.

Compared to sector peers, this ratio is well below the sector median of 0.94x, placing MTCH in the 25th percentile among peers. The year-over-year change is not available, but the ratio increased 22.2% from the prior quarter. A low PEG level combined with a rising quarterly trend may signal improving growth expectations or valuation support, which could represent an opportunity if sustained. This metric supports the overall NEUTRAL verdict because the low percentile rank suggests the stock is not overpriced on a growth-adjusted basis, yet the neutral rating reflects that other factors temper the outlook.

Frequently Asked Questions

What does the PEG Ratio tell investors about MTCH?

The PEG ratio adjusts P/E for expected growth. A PEG below 1.0 may signal undervaluation; above 2.0 may suggest the growth story is priced in.

How is the PEG Ratio calculated?

PEG Ratio is calculated as: P/E Ratio / EPS Growth Rate.

Who are MTCH's closest peers by PEG Ratio?

The closest peers by PEG Ratio include: EBAY (8.15x), VTR (8.27x), DOV (8.39x), MTD (8.61x), KR (9.25x).

The Formula

P/E Ratio / EPS Growth Rate

Why It Matters

The PEG ratio adjusts P/E for expected growth. A PEG below 1.0 may signal undervaluation; above 2.0 may suggest the growth story is priced in.

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MTCH

0.33x

Sector Median

0.97x

Sector Avg

2.92x

How MTCH's PEG Ratio compares to sector peers.

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