Daiwa Securities Group Inc.'s Fiscal Year is From April To March.
The item "Enterprise-Value-To-Ebitda-Ratio" stands at -73.34 as of 06/30/2025.
As of the end of Daiwa Securities Group Inc.'s first quarter, the item "Enterprise Value To Ebitda Ratio" stands at -73.34. This represents an increase of 10.13 percent compared to it's value at the end of it's fourth quarter of the company's last fiscal year.
Regarding the One-Year-Change of the series, the current value constitutes an increase of 3.45 compared to the value the year prior.
The Serie's long term average value is -23.67. It's latest available value, on 06/30/2025, is -49.67 lower, compared to it's long term average value.
The Serie's change from it's minimum value, on 12/31/2024, to it's latest available value, on 06/30/2025, is +12.33 .
The Serie's change from it's maximum value, on 06/30/2023, to it's latest available value, on 06/30/2025, is -85.55 .
| Logo | Name | Market Cap (USD) |
|---|---|---|
![]() | Morgan Stanley - Enterprise Value To Ebitda Ratio | 281,769,213,952.00 |
![]() | Goldman Sachs Group Inc - Enterprise Value To Ebitda Ratio | 258,693,332,992.00 |
![]() | Charles Schwab Corp - Enterprise Value To Ebitda Ratio | 170,303,881,216.00 |
![]() | Interactive Brokers Group Inc - Enterprise Value To Ebitda Ratio | 109,645,971,456.00 |
![]() | CITIC Securities Co Ltd - Enterprise Value To Ebitda Ratio | 59,189,025,444.25 |