P/E Ratio
Updated 320h ago
Sector Performance
5th percentileTRV
9.7x
Sector Median
24.7x
Sector Avg
36.0x
Deep Analysis
The current P/E ratio of 9.7x means for every $1 of annual earnings per share, investors are paying $9.70 for the stock — a low multiple often associated with undervaluation.
Compared to sector peers, TRV’s P/E sits far below the sector median of 24.1x, ranking in the 5th percentile — meaning only 5% of peers carry a lower multiple. The trend data is entirely unavailable: the year-over-year change, quarter-over-quarter change, and historical values over the last eight quarters are all listed as N/A, providing no insight into direction or stability. The combination of a very low P/E with no trend history creates a mixed implication: the level alone hints at a potential value opportunity, but the absence of any trend makes it impossible to assess whether the low valuation is persistent or temporary. This metric supports the overall NEUTRAL verdict — the single data point suggests cheapness, but without a trend to confirm momentum or a catalyst, the metric cannot justify a bullish or bearish tilt on its own.
Frequently Asked Questions
What does the P/E Ratio tell investors about TRV?
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.
Who are TRV's closest peers by P/E Ratio?
The closest peers by P/E Ratio include: VICI (9.1x), OMF (9.0x), JACK (8.5x), GIS (8.4x), FIS (8.4x).
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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9.7x
Sector Median
24.7x
Sector Avg
36.0x
How TRV's P/E Ratio compares to sector peers.
Also Analyze
Not financial advice. Research tool only. Data may be delayed.