Sygnia Ltd
JSE:SYG
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EV/OCF
Enterprise Value to Operating Cash Flow (EV/OCF) ratio compares a company`s total enterprise value to its operating cash flow. It shows how much investors are paying for each dollar of the company`s operating cash flow, including both equity and debt.
Enterprise Value to Operating Cash Flow (EV/OCF) ratio compares a company`s total enterprise value to its operating cash flow. It shows how much investors are paying for each dollar of the company`s operating cash flow, including both equity and debt.
Valuation Scenarios
If EV/OCF returns to its 3-Year Average (8.1), the stock would be worth Zac3 204.18 (7% upside from current price).
| Scenario | EV/OCF Value | Implied Price | Upside/Downside |
|---|---|---|---|
| Current Multiple | 7.6 | Zac3 000 |
0%
|
| 3-Year Average | 8.1 | Zac3 204.18 |
+7%
|
| 5-Year Average | 7.4 | Zac2 946.43 |
-2%
|
| Country Average | 12.9 | Zac5 122.11 |
+71%
|
Forward EV/OCF
Today’s price vs future operating cash flow
Peer Comparison
| Market Cap | EV/OCF | P/E | ||||
|---|---|---|---|---|---|---|
| ZA |
S
|
Sygnia Ltd
JSE:SYG
|
4.6B ZAR | 7.6 | 12.4 | |
| US |
|
BlackRock Inc
NYSE:BLK
|
162B USD | 41.6 | 25.9 | |
| US |
|
Blackstone Inc
NYSE:BX
|
144.5B USD | 33.3 | 47.3 | |
| CA |
|
Brookfield Corp
NYSE:BN
|
102.1B USD | 31.4 | 89.6 | |
| US |
|
Bank of New York Mellon Corp
NYSE:BK
|
92.3B USD | 0 | 17.4 | |
| US |
|
KKR & Co Inc
NYSE:KKR
|
90.8B USD | 267.1 | 40.6 | |
| ZA |
N
|
Ninety One Ltd
JSE:NY1
|
82.3B ZAR | -36.7 | 24.2 | |
| US |
|
BROOKFIELD ASSET MANAGEMENT LTD
F:RW5
|
67.3B EUR | 37.9 | 31.2 | |
| CA |
|
Brookfield Asset Management Inc
NYSE:BAM
|
77.9B USD | 38.1 | 31.4 | |
| CA |
B
|
BROOKFIELD ASSET MANAGEMENT LTD
TSX:BAM
|
107.2B CAD | 37.6 | 30.9 | |
| US |
|
Ameriprise Financial Inc
NYSE:AMP
|
41.8B USD | 8.7 | 10.7 |
Market Distribution
| Min | 5 |
| 30th Percentile | 10.5 |
| Median | 12.9 |
| 70th Percentile | 130.1 |
| Max | 687 |
Other Multiples
Sygnia Ltd
Glance View
In the bustling world of asset management, Sygnia Ltd. has carved out a distinctive niche for itself, characterized by its innovative approach and commitment to cost-efficient strategies. Founded in 2006, the company emerged as a disruptor in a traditionally conservative industry by offering a range of investment management services that emphasize low fees and transparency. The core of Sygnia’s operations lies in catering to both retail and institutional clients, providing them with a broad spectrum of index-tracking funds and tailored investment solutions. At the heart of its business model is the utilization of technology to streamline operations and reduce costs, allowing Sygnia to pass on savings directly to its clients, thus enhancing their investment returns. This client-centric approach fueled by technology not only drives Sygnia's growth but also maintains its competitive edge in the market. Navigating through the rapidly changing landscape of finance, Sygnia also capitalizes on its digital assets platform, adding another layer to its diversified revenue streams. The company has ventured into the burgeoning field of cryptocurrency investments, aligning itself with the evolving preferences of modern investors who are increasingly inclined towards digital assets. By offering digital asset exchange-traded funds and enabling transactions via its online platforms, Sygnia taps into a growing market while managing associated risks through astute portfolio strategies. The dual focus on traditional asset management and modern digital finance underscores Sygnia’s adaptive strategy, enabling it to stand resilient amidst market fluctuations while sustaining its growth trajectory. This blend of innovation and strategic acumen paints a clear picture of how Sygnia not only operates but thrives in today's dynamic financial ecosystem.