M

MSC Income Fund Inc
NYSE:MSIF

Watchlist Manager
MSC Income Fund Inc
NYSE:MSIF
Watchlist
Price: 12.77 USD -1.01%
Market Cap: $587.8m

EV/EBITDA

18
Current
1%
Cheaper
vs 3-y average of 18.2

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
18
=
Enterprise Value
$1.2B
/
EBITDA
$65.5m

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
18
=
Enterprise Value
$1.2B
/
EBITDA
$65.5m

Valuation Scenarios

MSC Income Fund Inc is trading below its 3-year average

If EV/EBITDA returns to its 3-Year Average (18.2), the stock would be worth $12.95 (1% upside from current price).

Statistics
Positive Scenarios
2/4
Maximum Downside
-54%
Maximum Upside
+1%
Average Downside
18%
Scenario EV/EBITDA Value Implied Price Upside/Downside
Current Multiple 18 $12.77
0%
3-Year Average 18.2 $12.95
+1%
5-Year Average 18.2 $12.95
+1%
Industry Average 8.2 $5.83
-54%
Country Average 14.4 $10.2
-20%

Forward EV/EBITDA
Today’s price vs future ebitda

Not enough data available to calculate forward EV/EBITDA

Peer Comparison

All Multiples
EV/EBITDA
P/E
All Countries
Close
Market Cap EV/EBITDA P/E
US
MSC Income Fund Inc
NYSE:MSIF
594.9m USD 18 6.7
US
GE Vernova LLC
NYSE:GEV
267.2B USD 0 0
UK
Eight Capital Partners PLC
F:ECS
158.4B EUR 0 0
US
China Industrial Group Inc
OTC:CIND
121B USD 3 417.4 4 020.7
NL
Nepi Rockcastle NV
JSE:NRP
102.7B ZAR 14.4 10.6
US
Fintech Ecosystem Development Corp
NASDAQ:FEXD
68.1B USD -18 026.5 38 496.8
US
CoreWeave Inc
NASDAQ:CRWV
57.8B USD 0 0
CH
Galderma Group AG
SIX:GALD
35.8B CHF 0 0
US
Coupang Inc
F:788
33.1B EUR 32.1 175.5
US
Symbotic Inc
NASDAQ:SYM
37.9B USD -4 643.8 -3 496.4
ZA
Vukile Property Fund Ltd
JSE:VKE
30.2B ZAR 17.7 7
EV/EBITDA Multiple
EBITDA Growth EV/EBITDA to Growth
US
M
MSC Income Fund Inc
NYSE:MSIF
Average EV/EBITDA: 699.9
18
N/A N/A
US
G
GE Vernova LLC
NYSE:GEV
Not Available
71%
N/A
UK
E
Eight Capital Partners PLC
F:ECS
Not Available N/A N/A
US
C
China Industrial Group Inc
OTC:CIND
3 417.4
N/A N/A
NL
N
Nepi Rockcastle NV
JSE:NRP
14.4
7%
2.1
US
F
Fintech Ecosystem Development Corp
NASDAQ:FEXD
Negative Multiple: -18 026.5 N/A N/A
US
C
CoreWeave Inc
NASDAQ:CRWV
Not Available
111%
N/A
CH
G
Galderma Group AG
SIX:GALD
Not Available
29%
N/A
US
Coupang Inc
F:788
32.1
49%
0.7
US
Symbotic Inc
NASDAQ:SYM
Negative Multiple: -4 643.8 N/A N/A
ZA
V
Vukile Property Fund Ltd
JSE:VKE
17.7
12%
1.5
P/E Multiple
Earnings Growth PEG
US
M
MSC Income Fund Inc
NYSE:MSIF
Average P/E: 7 119.6
6.7
-4%
N/A
US
G
GE Vernova LLC
NYSE:GEV
Not Available
19%
N/A
UK
E
Eight Capital Partners PLC
F:ECS
Not Available N/A N/A
US
C
China Industrial Group Inc
OTC:CIND
4 020.7
N/A N/A
NL
N
Nepi Rockcastle NV
JSE:NRP
10.6
1%
10.6
US
F
Fintech Ecosystem Development Corp
NASDAQ:FEXD
38 496.8
N/A N/A
US
C
CoreWeave Inc
NASDAQ:CRWV
Not Available N/A N/A
CH
G
Galderma Group AG
SIX:GALD
Not Available
47%
N/A
US
Coupang Inc
F:788
175.5
96%
1.8
US
Symbotic Inc
NASDAQ:SYM
Negative Multiple: -3 496.4 N/A N/A
ZA
V
Vukile Property Fund Ltd
JSE:VKE
7
-5%
N/A

Market Distribution

In line with most companies in the United States of America
Percentile
62st
Based on 9 875 companies
62st percentile
18
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

MSC Income Fund Inc
Glance View

Market Cap
587.8m USD
Industry
N/A

MSC Income Fund Inc is a US-based company operating in industry. The company is headquartered in Houston, Texas. The company went IPO on 2020-10-09. MSC Income Fund, Inc., is an externally managed, non-diversified closed-end management investment company. The firm's investment objective is to maximize its portfolio’s total return by generating current income from its debt investments and current income and capital appreciation from its equity and equity-related investments including warrants, convertible securities, and other rights to acquire equity securities in a portfolio company. The firm seeks to achieve its investment objective through its private loan, lower middle market (LMM), and middle-market investment strategies. The Company’s investment advisor is MSC Adviser I, LLC.

MSIF Intrinsic Value
16.22 USD
Undervaluation 21%
Intrinsic Value
Price $12.77
M
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