Logitech Intl - Comparative Multiple Analysis

Logitech Intl (Comparative Multiple Analysis)


Notes on the Comparative Multiple Analysis of Logitech Intl

WikiWealth compares Logitech Intl's revenue, EBITDA, and EBIT multiples to their peers in order to determine the appropriate fair valuation. Click in the top right corner to experiment with Logitech Intl's comparative analysis.

Notes from the analysis:

1. WikiWealth uses quantitative measures to determine the multiple range for Logitech Intl.
2. Free cash flow to the firm (FCF) multiple is free cash flow to equity holders plus interest owed to Logitech Intl's debt holders.
3. Multiples incorporate benefits due to economies of scale; WikiWealth compares absolute enterprise value multiples to competitor's multiples.
4. WikiWealth excludes outliers when calculating individual company multiples.

Helpful Information for Logitech Intl's Analysis

How does this work? The Comparative Investment Analysis determines the value of Logitech Intl by comparing Logitech Intl financial ratios, prices, growth rates, margins, etc. to those of relevant peer groups.

Value Investing Importance? This method is widely used by investment professionals to determine the correct price of investments, especially initial public offerings (IPOs). It is one element of WikiWealth's three Wall Street approaches used to determine the correct fair value of Logitech Intl.

See the Logitech Intl cash flow (DCF) analysis for a completely different approach that's popular on Wall Street for determining the value of an investment in Logitech Intl.

Also, see the Logitech Intl's buffett intrinsic valuation analysis for WikiWealth's attempt to replicate the investing formula's used by Warren Buffett and Logitech Intl's valuation conclusion for a quick summary.