As of Jul 28, 2025, Biglari Holdings's P/S ratio stood at 0, a 0% change from the 0.26 P/S ratio recorded in the previous year.
The Biglari Holdings P/S history
Biglari Holdings Aktienanalyse
What does Biglari Holdings do?
Biglari Holdings Inc. is a holding company based in San Antonio, Texas. It was founded by businessman Sardar Biglari in 2008 and is primarily engaged in the acquisition and operation of companies in various industries.
The history of Biglari Holdings dates back to the 1930s when the Steak 'n Shake Company was founded, which was later acquired by Biglari Holdings. Steak 'n Shake is now one of the key brands of Biglari Holdings and operates over 550 restaurants in the United States.
Another important company operated by Biglari Holdings is the Western Sizzlin Corporation, a steak restaurant franchise. Biglari Holdings acquired the company in 2010 and currently operates over 90 restaurants in the US.
Biglari Holdings is also active in the insurance industry and owns First Guard Insurance Company, specializing in truck driver insurance. The company was acquired by Biglari Holdings in 2007 and currently operates in several states in the US.
In addition to these business areas, Biglari Holdings is also active in investment and finance. The company holds a stake in Cracker Barrel Old Country Store, a restaurant and retail company with over 650 locations in the US. Furthermore, the company holds investments in brands such as Maxim, Inc. and The Lion Fund.
The business model of Biglari Holdings is based on the acquisition of undervalued or unprofitable companies and their subsequent restructuring. The company seeks out undervalued companies with high growth potential. Once acquired, the company is restructured by Biglari Holdings to make it profitable.
This strategy has made Biglari Holdings one of the most successful investors in the United States. The company has an impressive track record in acquiring and restructuring companies, and has experienced strong growth in recent years.
The various business areas of Biglari Holdings are interconnected and complement each other. By acquiring companies in different industries, the company can diversify its risks while leveraging its expertise in various areas.
Additionally, Biglari Holdings is constantly seeking new investment opportunities. The company has invested in a variety of industries in the past, including retail, media, and the automotive industry.
Overall, Biglari Holdings is an attractive investment for investors who want to invest in a diverse and successful company. The company has proven in the past that it is capable of acquiring undervalued companies and successfully restructuring them. With a wide range of business areas and an experienced management team, Biglari Holdings is well positioned to continue growing and continuing its success story in the future. Biglari Holdings ist eines der beliebtesten Unternehmen auf Eulerpool.com. P/S Details
Decoding Biglari Holdings's P/S Ratio
Biglari Holdings's Price to Sales (P/S) Ratio is a crucial financial metric that measures the company's market valuation relative to its total sales revenue. It's calculated by dividing the company's market capitalization by its total sales over a specific period. A lower P/S ratio can indicate that the company is undervalued, while a higher ratio may suggest overvaluation.
Year-to-Year Comparison
Comparing Biglari Holdings's P/S ratio yearly provides insights into how the market perceives the company’s value relative to its sales. An increasing ratio over time can indicate growing investor confidence, while a decreasing trend might reflect concerns about the company’s revenue generation capabilities or market conditions.
Impact on Investments
The P/S ratio is instrumental for investors evaluating Biglari Holdings's stock. It offers insights into the company’s efficiency in generating sales and its market valuation. Investors use this ratio to compare similar companies within the same industry, aiding in selecting stocks that offer the best value for investment.
Interpreting P/S Ratio Fluctuations
Variations in Biglari Holdings’s P/S ratio can result from changes in the stock price, sales revenue, or both. Understanding these fluctuations is crucial for investors to evaluate the company’s current valuation and future growth potential, aligning their investment strategies accordingly.
Frequently Asked Questions about Biglari Holdings stock
What is the price-to-earnings ratio of Biglari Holdings?
The price-earnings ratio of Biglari Holdings is currently 0.
How has the price-earnings ratio of Biglari Holdings changed compared to last year?
The price-to-earnings ratio of Biglari Holdings has increased by 0% fallen (meaning "decreased" or "dropped") compared to last year.
What consequences does a high price-earnings ratio have for investors?
A high price-to-earnings ratio indicates that the company's stock is relatively expensive and investors may potentially achieve a lower return.
What does a low price-earnings ratio mean?
A low price-earnings ratio means that the company's stock is relatively cheap and investors may potentially achieve a higher return.
Is the price-earnings ratio of Biglari Holdings high compared to other companies?
Yes, the price-to-earnings ratio of Biglari Holdings is high compared to other companies.
How does an increase in the price-earnings ratio of Biglari Holdings affect the company?
An increase in the price-earnings ratio of Biglari Holdings would lead to a higher market capitalization of the company, which in turn would lead to a higher valuation of the company.
How does a reduction in the price-to-earnings ratio of Biglari Holdings affect the company?
A decrease in the price-earnings ratio of Biglari Holdings would result in a lower market capitalization of the company, which in turn would lead to a lower valuation of the company.
What are some factors that influence the price-earnings ratio of Biglari Holdings?
Some factors that influence the price-earnings ratio of Biglari Holdings are the company's growth, financial position, industry development, and the overall economic situation.
How much dividend does Biglari Holdings pay?
Over the past 12 months, Biglari Holdings paid a dividend of . This corresponds to a dividend yield of about . For the coming 12 months, Biglari Holdings is expected to pay a dividend of 0 USD.
What is the dividend yield of Biglari Holdings?
The current dividend yield of Biglari Holdings is .
When does Biglari Holdings pay dividends?
Biglari Holdings pays a quarterly dividend. This is distributed in the months of .
How secure is the dividend of Biglari Holdings?
Biglari Holdings paid dividends every year for the past 0 years.
What is the dividend of Biglari Holdings?
For the upcoming 12 months, dividends amounting to 0 USD are expected. This corresponds to a dividend yield of 0 %.
In which sector is Biglari Holdings located?
Biglari Holdings is assigned to the 'Cyclical consumption' sector.
Wann musste ich die Aktien von Biglari Holdings kaufen, um die vorherige Dividende zu erhalten?
To receive the latest dividend of Biglari Holdings from 7/28/2025 amounting to 0 USD, you needed to have the stock in your portfolio before the ex-date on 7/28/2025.
When did Biglari Holdings pay the last dividend?
The last dividend was paid out on 7/28/2025.
What was the dividend of Biglari Holdings in the year 2024?
In the year 2024, Biglari Holdings distributed 0 USD as dividends.
In which currency does Biglari Holdings pay out the dividend?
The dividends of Biglari Holdings are distributed in USD.
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Andere Kennzahlen von Biglari Holdings
Our stock analysis for Biglari Holdings Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Biglari Holdings Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.