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AGNC Investment Corp
NASDAQ:AGNC

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AGNC Investment Corp
NASDAQ:AGNC
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Price: 10.91 USD 1.3% Market Closed
Market Cap: $12.3B

EV/EBITDA

68
Current
46%
Cheaper
vs 3-y average of 125.6

Enterprise Value to EBITDA (EV/EBITDA) ratio compares a company`s total enterprise value to its earnings before interest, taxes, depreciation, and amortization. It shows how much investors are paying for each dollar of the company`s earnings, including both equity and debt.

EV/EBITDA
68
=
Enterprise Value
$113.7B
/
EBITDA
$1.7B

Enterprise Value to EBITDA (EV/EBITDA) ratio compares a company`s total enterprise value to its earnings before interest, taxes, depreciation, and amortization. It shows how much investors are paying for each dollar of the company`s earnings, including both equity and debt.

EV/EBITDA
68
=
Enterprise Value
$113.7B
/
EBITDA
$1.7B

Valuation Scenarios

AGNC Investment Corp is trading below its 3-year average

If EV/EBITDA returns to its 3-Year Average (125.6), the stock would be worth $20.15 (85% upside from current price).

Statistics
Positive Scenarios
2/4
Maximum Downside
-79%
Maximum Upside
+85%
Average Downside
17%
Scenario EV/EBITDA Value Implied Price Upside/Downside
Current Multiple 68 $10.91
0%
3-Year Average 125.6 $20.15
+85%
5-Year Average 68.9 $11.05
+1%
Industry Average 17.6 $2.83
-74%
Country Average 14.4 $2.3
-79%

Forward EV/EBITDA
Today’s price vs future ebitda

Today's Enterprise Value EBITDA Forward EV/EBITDA
$113.7B
/
Jan 2026
$1.7B
=
68
Current
$113.7B
/
Dec 2026
$1.8B
=
63.4
Forward
$113.7B
/
Dec 2027
$2.1B
=
53.1
Forward

Forward EV/EBITDA shows whether today’s EV/EBITDA still looks high or low once future ebitda are taken into account.

Peer Comparison

All Multiples
EV/EBITDA
P/E
All Countries
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Market Distribution

Higher than 88% of companies in the United States of America
Percentile
88th
Based on 9 875 companies
88th percentile
68
Low
0 — 10
Typical Range
10 — 21.5
High
21.5 —
Distribution Statistics
the United States of America
Min 0
30th Percentile 10
Median 14.4
70th Percentile 21.5
Max 1 767 274.1

AGNC Investment Corp
Glance View

AGNC Investment Corp., a prominent player in the American financial landscape, operates with a unique business model centered around investing in agency mortgage-backed securities (MBS). These securities are issued or guaranteed by government-sponsored enterprises such as Fannie Mae and Freddie Mac. By focusing on agency MBS, AGNC aims to leverage the implicit government backing of these products, ensuring a level of credit stability and reducing default risk. Fundamentally, AGNC's strategy involves borrowing funds at short-term rates to purchase these agency-backed securities, thus producing a net interest spread—essentially the difference between the income generated from the assets and the cost of funding. This spread constitutes the crux of AGNC's revenue model. However, the path isn't devoid of challenges; the company must deftly navigate factors such as interest rate volatility and the macroeconomic environment. AGNC employs hedging strategies to mitigate interest rate risks, as fluctuations in rates can squeeze margins and affect profitability. Moreover, the REIT structure of AGNC necessitates distributing at least 90% of taxable income as dividends to shareholders, aligning the company’s objectives with those of its investors. Through adept management of its asset portfolio and strategic financial maneuvers, AGNC strives to deliver value, drawing in income-focused investors seeking stable, high-yield returns in an often uncertain market landscape.

AGNC Intrinsic Value
Not Available
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