Amundi SA
PAR:AMUN
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EV/EBITDA
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.
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.
Valuation Scenarios
If EV/EBITDA returns to its 3-Year Average (11.2), the stock would be worth €89.88 (16% upside from current price).
| Scenario | EV/EBITDA Value | Implied Price | Upside/Downside |
|---|---|---|---|
| Current Multiple | 9.7 | €77.25 |
0%
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| 3-Year Average | 11.2 | €89.88 |
+16%
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| 5-Year Average | 13.1 | €104.78 |
+36%
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| Industry Average | 12.5 | €99.6 |
+29%
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| Country Average | 7.3 | €58.09 |
-25%
|
Forward EV/EBITDA
Today’s price vs future ebitda
| Today's Enterprise Value | EBITDA | Forward EV/EBITDA | ||
|---|---|---|---|---|
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€15.5B
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/ |
Jan 2026
€1.6B
|
= |
|
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€15.5B
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/ |
Dec 2026
€1.7B
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= |
|
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€15.5B
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/ |
Dec 2027
€1.8B
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= |
|
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€15.5B
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/ |
Dec 2028
€1.8B
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= |
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Forward EV/EBITDA shows whether today’s EV/EBITDA still looks high or low once future ebitda are taken into account.
Peer Comparison
| Market Cap | EV/EBITDA | P/E | ||||
|---|---|---|---|---|---|---|
| FR |
|
Amundi SA
PAR:AMUN
|
15.8B EUR | 9.7 | 9.3 | |
| US |
|
BlackRock Inc
NYSE:BLK
|
161.7B USD | 17.4 | 26.3 | |
| US |
|
Blackstone Inc
NYSE:BX
|
152.6B USD | 22.6 | 52.7 | |
| CA |
|
Brookfield Corp
NYSE:BN
|
104.2B USD | 11.3 | 91 | |
| US |
|
Bank of New York Mellon Corp
NYSE:BK
|
94.9B USD | 0 | 17.6 | |
| US |
|
KKR & Co Inc
NYSE:KKR
|
93.1B USD | 290.6 | 42.2 | |
| ZA |
N
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Ninety One Ltd
JSE:NY1
|
83.8B ZAR | -38.1 | 24.6 | |
| US |
|
BROOKFIELD ASSET MANAGEMENT LTD
F:RW5
|
68.6B EUR | 28.7 | 31.8 | |
| CA |
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Brookfield Asset Management Inc
NYSE:BAM
|
79B USD | 28.9 | 32 | |
| CA |
B
|
BROOKFIELD ASSET MANAGEMENT LTD
TSX:BAM
|
107.9B CAD | 28.4 | 31.5 | |
| US |
|
State Street Corp
NYSE:STT
|
42.5B USD | 0 | 14.9 |
Market Distribution
| Min | 0.1 |
| 30th Percentile | 5.3 |
| Median | 7.3 |
| 70th Percentile | 11.7 |
| Max | 1 862.3 |
Other Multiples
Amundi SA
Glance View
Amundi SA, Europe's largest asset manager, has carved out a formidable presence in the financial world, dipping its roots deep into the fertile soil of investment management. Established in 2010 as a result of a merger between asset management arms of Crédit Agricole and Société Générale, Amundi swiftly rose through the ranks, leveraging its immense scale and a robust network to offer a comprehensive portfolio of investment solutions. At its core, Amundi operates by pooling together funds from investors and strategically allocating them across a diverse array of assets including equities, bonds, real estate, and alternative investments. With over €2 trillion in assets under management, Amundi’s prowess lies in its ability to masterfully balance risk and return, appealing to a broad range of clients from institutional investors to retail savers. The heart of Amundi's business model beats in its capability to not only manage these eclectic investment portfolios but also customize solutions that cater to the specific needs of its clients. Revenue flows primarily from management and performance fees, meticulously structured to align with the diverse products offered. This includes actively managed funds meant for those seeking hands-on guidance and passive funds, such as ETFs, that track market indices for cost-effective exposure. Furthermore, partnerships and joint ventures across global financial markets enhance Amundi's reach, allowing it access to international investment landscapes and client bases. This strategic agility, combined with a strong emphasis on sustainable investing, weaves a narrative of growth fueled by innovation and adaptation to the ever-evolving demands of investors worldwide.