CA Enterprise Value over EBITDA Trend

CA -- USA Stock  

USD 43.98  0.01  0.0227%

This module enables investors to look at CA various fundamental indicators over time in order to gain insight into the company future performance. Macroaxis historical fundamental analysis tools allow evaluation of not only typical financial statement drivers such as Consolidated Income of 921.2 M, Cost of Revenue of 685.9 M or Earning Before Interest and Taxes EBIT of 1.4 B, but also many exotic indicators such as Interest Coverage of 26.1822, Long Term Debt to Equity of 0.4259 or Calculated Tax Rate of 34.1871. This module is a perfect complement to use when analyzing CA Valuation or Volatility. It can also complement various CA Technical models. Check also analysis of CA Correlation with competitors.
Showing smoothed Enterprise Value over EBITDA of CA with missing and latest data points interpolated. Measures the ratio between Enterprise Value and [EBITDAUSD].
Enterprise Value over EBITDA10 Years Trend
Decreasing
Slightly volatile
 Enterprise Value over EBITDA 
      Timeline 

Regression Statistics

Arithmetic Mean  9.80
Geometric Mean  8.58
Coefficient Of Variation  76.55
Mean Deviation  3.93
Median  8.23
Standard Deviation  7.50
Sample Variance  56.31
Range  27.61
R Value (0.38)
Mean Square Error  53.09
R Squared  0.14
Significance  0.23
Slope (0.79)
Total Sum of Squares  619.43

CA Enterprise Value over EBITDA Over Time

2016-12-31  8.23 
2017-12-31  8.23 
2018-12-31  9.69 

Other Fundumenentals

Thematic Opportunities

Explore Investment Opportunities
Build portfolios using Macroaxis predefined set of investing ideas. Many of Macroaxis investing ideas can easily outperform a given market. Ideas can also be optimized per your risk profile before portfolio origination is invoked.
Explore Thematic Ideas
Explore Investing Ideas  

CA Upcoming Company Events

Upcoming Quarterly ReportMay 10, 2017
Next Earnings ReportJuly 26, 2017
Check also analysis of CA Correlation with competitors. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.
vendors/bower_components/jquery.easy-pie-chart/dist/jquery.easypiechart.min.js">