Company Valuation: Comtech Telecommunications Corp.

Data adjusted to current consolidation scope
Fiscal Period: July 2021 2022 2023 2024 2025 2026 2027
Market Cap 1 650.9 319.7 283.3 92.32 63.79 136.5 -
Change - -50.89% -11.38% -67.41% -30.9% 113.96% -
Enterprise Value (EV) 650.9 319.7 283.3 92.32 63.79 136.5 136.5
Change - -50.89% -11.38% -67.41% -30.9% 113.96% 0%
P/E Ratio -8.73x -7.13x -8.4x -0.69x -0.31x -1.92x -2.31x
PBR 1.31x 0.66x 0.65x 0.3x 0.61x 4.03x -5.46x
PEG - 0.2x 0.3x -0x -0x 0x 0.1x
Capitalization / Revenue 1.12x 0.66x 0.52x 0.17x 0.13x 0.31x 0.3x
EV / Revenue 0x 0x 0x 0x 0x 0.31x 0.3x
EV / EBITDA 0x 0x 0x 0x 0x 3.43x 3x
EV / EBIT -0x -0x -0x -0x -0x -27.3x -158x
EV / FCF -0x -0x -0x -0x -0x 303x 74.7x
FCF Yield -8.71% -5.51% -8.03% -73.2% -26.4% 0.33% 1.34%
Dividend per Share 2 0.4 0.4 - - - - -
Rate of return 1.6% 3.44% - - - - -
EPS 2 -2.86 -1.63 -1.21 -4.7 -6.95 -2.39 -1.99
Distribution rate -14% -24.5% - - - - -
Net sales 1 581.7 486.2 550 540.4 499.5 441.5 461.6
EBITDA 1 76.52 39.26 53.5 45.7 9.392 39.78 45.48
EBIT 1 -68.3 -33.75 -14.66 -79.89 -139.1 -5.007 -0.865
Net income 1 -73.48 -33.05 -33.91 -135.4 -204.3 -71.34 -59.43
Net Debt - - - - - - -
Reference price 2 24.970 11.620 10.160 3.240 2.170 4.590 4.590
Nbr of stocks (in thousands) 26,069 27,510 27,884 28,493 29,395 29,734 -
Announcement Date 10/4/21 9/29/22 10/12/23 10/30/24 11/10/25 - -
1USD in Million2USD
Estimates

P/E Ratio, Detailed evolution

P/E (N) EV / Sales (N) EV / EBITDA (N) Dividend Yield (N) Capi.($)
-1.8x - - - 128M
36.68x7.64x19.73x1.4% 468B
23.35x0.93x16.85x2.06% 208B
42.61x13.3x33.39x0.25% 189B
45.32x15.17x31.77x-.--% 191B
46.98x3.01x19.59x1.28% 76.08B
31.03x5.89x17.24x1.15% 68.33B
172.75x22.23x65.29x-.--% 66.38B
83.67x9.73x44.9x-.--% 61.53B
24.44x5.27x18.23x1.78% 44.69B
Average 50.50x 9.24x 29.67x 0.88% 137.36B
Weighted average by Cap. 45.24x 8.83x 26.00x 1.01%

Y-o-Y evolution of P/E

Historical PBR trend

Evolution Enterprise Value / Sales

Change in Enterprise Value/EBITDA

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  4. Valuation Comtech Telecommunications Corp.
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