EV/EBITDA
Updated 320h ago
Sector Performance
18th percentileTRV
7.1x
Sector Median
13.7x
Sector Avg
18.7x
Deep Analysis
EV/EBITDA compares a company’s enterprise value (market cap plus debt minus cash) to its earnings before interest, taxes, depreciation, and amortization — a lower multiple often suggests the stock is undervalued relative to its cash earnings.
TRV’s current 7.1x is well below the sector median of 13.9x, placing it in the 15th percentile among peers, meaning it is cheaper than roughly 85% of comparable companies. The year-over-year change is not available, but quarter-over-quarter the multiple declined 14.4% from 8.3x to 7.1x, indicating compression in valuation over the recent period. The combination of a low multiple and a declining trend implies both a potential value opportunity if earnings hold steady, yet also a risk that the market is pricing in weaker future performance. This metric supports the overall NEUTRAL verdict: the cheap valuation suggests a possible upside, but the downward trend introduces caution that prevents a clear bullish or bearish call.
Frequently Asked Questions
What does the EV/EBITDA tell investors about TRV?
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 TRV'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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7.1x
Sector Median
13.7x
Sector Avg
18.7x
How TRV's EV/EBITDA compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.