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SMC Global Securities Ltd

NSE: SMCGLOBAL BSE: 543263

₹72.09

(0.69%)

Tue, 23 Jun 2026, 02:08 am

SMC Global Securities EV/EBITDA Ratio

Particulars2007200820092010201120202021202220232024
Price to earnings ratio000007.435.096.386.977.51
Price to book ratio000001.010.960.801.190.90
Price to sales ratio000000.870.800.630.800.61
Price to cash flow ratio000002.411.939.361.670
Enterprise value00000183Cr109Cr280Cr443Cr850Cr
Enterprise value to EBITDA ratio000000.900.381.131.122.19
Debt to equity ratio0.230.120.280.410.390.640.541.031.341.39
Return on equity %0-4.14-3.55-2.96-0.10020.5312.9218.4612.60

SMC Global Securities Ltd Enterprise Value to EBITDA Ratio

The SMC Global Securities Ltd Enterprise Value to EBITDA Ratio is a key financial metric used by investors to evaluate SMC Global Securities Ltd's valuation, profitability, and overall financial performance. Tracking the SMC Global Securities Ltd Enterprise Value to EBITDA Ratio helps investors understand whether the stock is undervalued, fairly valued, or trading at a premium compared to its historical performance and industry peers.

SMC Global Securities Ltd (NSE: SMCGLOBAL, BSE: 543263) is currently trading at ₹72.09, with a market capitalization of ₹1511.87Cr. As a leading company in the Finance sector and Investment banks/Brokers industry, monitoring the SMC Global Securities Ltd Enterprise Value to EBITDA Ratio is essential for fundamental analysis.

SMC Global Securities Ltd Enterprise Value to EBITDA Ratio Current Value

The current SMC Global Securities Ltd Enterprise Value to EBITDA Ratio stands at 2.19.

The latest SMC Global Securities Ltd Enterprise Value to EBITDA Ratio has increased compared to the previous period, indicating rising valuation or improved investor sentiment.

SMC Global Securities Ltd Enterprise Value to EBITDA Ratio Historical Trend

The SMC Global Securities Ltd Enterprise Value to EBITDA Ratio has shown the following historical trend:

  • 2024: 2.19
  • 2023: 1.12
  • 2022: 1.13
  • 2021: 0.38
  • 2020: 0.90

The recent rise in SMC Global Securities Ltd Enterprise Value to EBITDA Ratio suggests strengthening valuation trends and improving market sentiment.

What SMC Global Securities Ltd Enterprise Value to EBITDA Ratio Indicates for Investors

The SMC Global Securities Ltd Enterprise Value to EBITDA Ratio plays a crucial role in understanding the company's financial health and valuation.

This ratio is an important metric used in fundamental analysis of SMC Global Securities Ltd.

SMC Global Securities Ltd Enterprise Value to EBITDA Ratio Analysis Summary

The SMC Global Securities Ltd Enterprise Value to EBITDA Ratio remains a crucial metric for evaluating the company's valuation and financial stability. Investors tracking SMC Global Securities Ltd Enterprise Value to EBITDA Ratio should also monitor related metrics such as P/E, P/B, EV/EBITDA, D/E, and ROE to get a complete fundamental picture.

Regular tracking of SMC Global Securities Ltd Enterprise Value to EBITDA Ratio helps investors make informed decisions based on long-term growth, valuation trends, and financial performance.

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