P/E Ratio
Higher than 38% of Utilities sector peers
Updated 388h ago
Sector Performance
38th percentilePEG
17.9x
Sector Median
19.0x
Sector Avg
16.7x
Deep Analysis
The P/E ratio measures a stock's price relative to its earnings per share; a P/E of 17.9x means investors pay $17.90 for every $1.00 of PEG's annual earnings.
Compared to the sector median of 20.2x, PEG trades at a discount, placing it in the 30th percentile among utility peers—meaning 70% of peers have higher P/Es. The metric is stable over the last eight quarters, with no year-over-year data available and a quarter-over-quarter change of +0.2%. A stable P/E near the lower end of the sector suggests neither a sudden overvaluation nor a compression risk, but the combination of its sub-median level and flat trend implies limited near-term catalyst from multiple expansion. This stable, discounted P/E supports the overall NEUTRAL verdict, as it indicates neither a cheap bargain requiring a re-rating nor an expensive valuation that would flag downside risk.
Frequently Asked Questions
What does the P/E Ratio tell investors about PEG?
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 PEG's P/E Ratio compare to its sector?
PEG's P/E Ratio of 17.9x compares to a Utilities sector median of 19.0x, placing it in the 38th percentile.
Who are PEG's closest peers by P/E Ratio?
The closest Utilities peers by P/E Ratio include: PNW (19.0x), AEP (20.2x), AEE (20.5x), ATO (23.2x), LNT (23.3x).
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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17.9x
Sector Median
19.0x
Sector Avg
16.7x
How PEG's P/E Ratio compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.