Groep Brussel Lambert NV
OTC:GBLBY

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Groep Brussel Lambert NV Logo
Groep Brussel Lambert NV
OTC:GBLBY
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Price: 9.475 USD -0.18% Market Closed
Market Cap: $12.1B

EV/OCF

16.7
Current
23%
More Expensive
vs 3-y average of 13.6

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.

EV/OCF
16.7
=
Enterprise Value
$12.5B
/
Operating Cash Flow
€747m

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.

EV/OCF
16.7
=
Enterprise Value
$12.5B
/
Operating Cash Flow
€747m

Valuation Scenarios

Groep Brussel Lambert NV is trading above its 3-year average

If EV/OCF returns to its 3-Year Average (13.6), the stock would be worth $7.68 (19% downside from current price).

Statistics
Positive Scenarios
0/4
Maximum Downside
-36%
Maximum Upside
No Upside Scenarios
Average Downside
24%
Scenario EV/OCF Value Implied Price Upside/Downside
Current Multiple 16.7 $9.48
0%
3-Year Average 13.6 $7.68
-19%
5-Year Average 14.6 $8.27
-13%
Industry Average 10.6 $6.02
-36%
Country Average 12 $6.81
-28%

Forward EV/OCF
Today’s price vs future operating cash flow

Not enough data available to calculate forward EV/OCF

Peer Comparison

All Multiples
EV/OCF
P/E
All Countries
Close
Market Cap EV/OCF P/E
BE
Groep Brussel Lambert NV
OTC:GBLBY
9.6B USD 16.7 -15.4
US
Berkshire Hathaway Inc
NYSE:BRK.A
1T USD 23.8 15.2
SE
Investor AB
STO:INVE B
1.1T SEK 55.6 7.2
ZA
Remgro Ltd
JSE:REM
107.9B ZAR 14.8 22.4
SE
Industrivarden AB
STO:INDU A
212.2B SEK 23.1 5.2
MC
HAL Trust
AEX:HAL
15.4B EUR 5.5 9.7
NL
Exor NV
AEX:EXO
13.8B EUR 5.6 -3.7
SE
L E Lundbergforetagen AB (publ)
STO:LUND B
136.5B SEK 18.5 11.3
IN
Bajaj Holdings and Investment Ltd
NSE:BAJAJHLDNG
1.2T INR -17.5 13.1
BE
Sofina SA
XBRU:SOF
7.8B EUR -10.5 71.9
SA
Kingdom Holding Company SJSC
SAU:4280
29.6B SAR 40.4 13.8
P/E Multiple
Earnings Growth PEG
BE
Groep Brussel Lambert NV
OTC:GBLBY
Average P/E: 18.9
Negative Multiple: -15.4
N/A N/A
US
Berkshire Hathaway Inc
NYSE:BRK.A
15.2
-7%
N/A
SE
Investor AB
STO:INVE B
7.2
-31%
N/A
ZA
R
Remgro Ltd
JSE:REM
22.4
49%
0.5
SE
Industrivarden AB
STO:INDU A
5.2
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
Sofina SA
XBRU:SOF
71.9
N/A N/A
SA
Kingdom Holding Company SJSC
SAU:4280
13.8
-14%
N/A

Market Distribution

Higher than 75% of companies in Belgium
Percentile
75th
Based on 373 companies
75th percentile
19.9
Low
2 — 7.1
Typical Range
7.1 — 17.3
High
17.3 —
Distribution Statistics
Belgium
Min 2
30th Percentile 7.1
Median 12
70th Percentile 17.3
Max 1 030

Groep Brussel Lambert NV
Glance View

Market Cap
12.1B USD
Industry
Financial Services

Groep Brussel Lambert NV (GBL), rooted in the vibrant heart of Brussels, is a cornerstone of European investment holding companies. Its legacy stretches back over a century, with a rich tapestry of strategic investments and financial acumen that has solidified its reputation. At its core, GBL operates as a steward of multi-generational wealth, wielding its capital to cultivate substantial stakes in a diversified portfolio of European and global companies. The company channels its efforts into investing in high-quality, sustainable businesses that promise long-term growth and robust returns. By maintaining substantial shares in industries spanning consumer goods, oil and gas, and media, GBL ensures a resilient and balanced portfolio, unfazed by the ebb and flow of market tides. GBL thrives on a symbiotic relationship with its investee companies, adopting a collaborative approach that goes beyond mere capital allocation. It leverages its industry expertise to influence strategic and operational decisions, thus enhancing value creation and unlocking synergies across its portfolio. Additionally, GBL employs a disciplined financial strategy, astutely managing its assets and liabilities to optimize liquidity and financial flexibility. Profits are generated through capital appreciation and dividends from their investments, all the while maintaining a vigilant focus on sustainable growth. This holistic approach not only reinforces GBL's standing as a responsible investment entity but also underscores its commitment to fostering a future-ready business ecosystem.

GBLBY Intrinsic Value
9.074 USD
Overvaluation 4%
Intrinsic Value
Price $9.475
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