Compass Diversified Holdings
NYSE:CODI

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Compass Diversified Holdings
NYSE:CODI
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Price: 11.44 USD -2.05% Market Closed
Market Cap: $860.7m

EV/S

1.4
Current
11%
More Expensive
vs 3-y average of 1.3

Enterprise Value to Sales (EV/S) ratio compares a company`s total enterprise value to its revenue. It shows how much investors are paying for each dollar of the company`s sales, including both equity and debt.

EV/S
1.4
=
Enterprise Value
$2.5B
/
Revenue
$1.9B

Enterprise Value to Sales (EV/S) ratio compares a company`s total enterprise value to its revenue. It shows how much investors are paying for each dollar of the company`s sales, including both equity and debt.

EV/S
1.4
=
Enterprise Value
$2.5B
/
Revenue
$1.9B

Valuation Scenarios

Compass Diversified Holdings is trading above its 3-year average

If EV/S returns to its 3-Year Average (1.3), the stock would be worth $10.27 (10% downside from current price).

Statistics
Positive Scenarios
2/4
Maximum Downside
-10%
Maximum Upside
+285%
Average Upside
96%
Scenario EV/S Value Implied Price Upside/Downside
Current Multiple 1.4 $11.44
0%
3-Year Average 1.3 $10.27
-10%
5-Year Average 1.3 $10.51
-8%
Industry Average 5.4 $44.08
+285%
Country Average 3 $24.71
+116%

Forward EV/S
Today’s price vs future revenue

Today's Enterprise Value Revenue Forward EV/S
$2.5B
/
Jan 2026
$1.9B
=
1.4
Current
$2.5B
/
Dec 2026
$1.9B
=
1.3
Forward
$2.5B
/
Dec 2027
$2B
=
1.3
Forward

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

Peer Comparison

All Multiples
EV/S
P/E
All Countries
Close
Market Cap EV/S P/E
US
Compass Diversified Holdings
NYSE:CODI
860.7m USD 1.4 -3.2
US
Berkshire Hathaway Inc
NYSE:BRK.A
1T USD 3 15.2
SE
Investor AB
STO:INVE B
1.2T SEK 14.7 7.3
ZA
Remgro Ltd
JSE:REM
107.9B ZAR 1.9 22.4
SE
Industrivarden AB
STO:INDU A
212.2B SEK 5.3 5.3
MC
HAL Trust
AEX:HAL
15.5B EUR 1.2 9.7
NL
Exor NV
AEX:EXO
13.9B EUR -4.6 -3.7
SE
L E Lundbergforetagen AB (publ)
STO:LUND B
136.5B SEK 5.3 11.3
IN
Bajaj Holdings and Investment Ltd
NSE:BAJAJHLDNG
1.2T INR 98.5 13.1
BE
Groep Brussel Lambert NV
XBRU:GBLB
9.7B EUR 2 -15.5
BE
Sofina SA
XBRU:SOF
7.8B EUR 45.9 72.3
P/E Multiple
Earnings Growth PEG
US
Compass Diversified Holdings
NYSE:CODI
Average P/E: 19.6
Negative Multiple: -3.2
N/A N/A
US
Berkshire Hathaway Inc
NYSE:BRK.A
15.2
-7%
N/A
SE
Investor AB
STO:INVE B
7.3
-31%
N/A
ZA
R
Remgro Ltd
JSE:REM
22.4
49%
0.5
SE
Industrivarden AB
STO:INDU A
5.3
N/A N/A
MC
HAL Trust
AEX:HAL
9.7
-7%
N/A
NL
Exor NV
AEX:EXO
Negative Multiple: -3.7 N/A N/A
SE
L E Lundbergforetagen AB (publ)
STO:LUND B
11.3
N/A N/A
IN
Bajaj Holdings and Investment Ltd
NSE:BAJAJHLDNG
13.1
N/A N/A
BE
Groep Brussel Lambert NV
XBRU:GBLB
Negative Multiple: -15.5 N/A N/A
BE
Sofina SA
XBRU:SOF
72.3
N/A N/A

Market Distribution

Lower than 74% of companies in the United States of America
Percentile
26th
Based on 11 256 companies
26th percentile
1.4
Low
0 — 1.6
Typical Range
1.6 — 5.3
High
5.3 —
Distribution Statistics
the United States of America
Min 0
30th Percentile 1.6
Median 3
70th Percentile 5.3
Max 4 613 320.1

Compass Diversified Holdings
Glance View

Market Cap
860.7m USD
Industry
Financial Services

Compass Diversified Holdings (CODI) operates as a sophisticated investment firm, adopting an entrepreneurial model to manage a diverse portfolio of small to middle-market businesses. Established with a keen focus on long-term growth, CODI differentiates itself through strategic acquisitions, providing both capital and expertise to help its subsidiaries thrive. The firm’s portfolio spans a wide range of industries, from branded consumer businesses to niche industrial sectors, showcasing a deliberate diversification strategy. Each subsidiary operates independently, yet benefits from CODI's centralized resources, which include management acumen and financial stewardship, allowing them to compete more effectively within their respective markets. Revenue generation for Compass Diversified is primarily achieved through the profits and growth of its underlying subsidiary companies. By owning a substantial interest in these businesses, CODI directly reaps financial rewards whenever these companies perform well. The firm employs a buy-and-build approach, meaning they focus on acquiring businesses with potential and subsequently investing in them to foster their expansion. This strategy helps CODI enhance the operational performance and value of each subsidiary, ensuring a solid return on investment. The firm's robust dividend policy, often derived from the cash flow of its fully-owned subsidiaries, further attracts investors looking for consistent income streams. Through this model, CODI not only establishes a diversified source of income but also scales its operations, making it a compelling entity in the investment landscape.

CODI Intrinsic Value
42.86 USD
Undervaluation 73%
Intrinsic Value
Price $11.44
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