Axtec Stock

Axtec EV/EBIT

The EV/EBIT (Enterprise Value to EBIT) of Axtec (AXI.AX) as of Jul 12, 2026 is -3.28. In the previous year, EV/EBIT (Enterprise Value to EBIT) was -1.65 — a change of 98.95% (lower).

EV/EBIT

-3.28

YoY

98.95%

Last updated:

EV/EBIT (Enterprise Value to EBIT) of Axtec is 2026 -3.28 . EV/EBIT (Enterprise Value to EBIT) of Axtec was 2025 -1.65 . It decreases by 98.95% lower compared to the previous year.

The Axtec EV/EBIT history

  • 3 Years

  • 10 Years

  • 25 Years

  • Max

PRICE-TO-EBIT
Date
PRICE-TO-EBIT
Jan 1, 2018
-17.99 base
Jan 1, 2019
-7.92 base
Jan 1, 2020
-10.03 base
Jan 1, 2021
3.18 base
Jan 1, 2022
5.05 base
Jan 1, 2023
-4.25 base
Jan 1, 2024
-2.41 base
Jan 1, 2025
-1.60 base
YEARPRICE-TO-EBIT
2025 -1.60
2024 -2.41
2023 -4.25
2022 5.05
2021 3.18
2020 -10.03
2019 -7.92
2018 -17.99
2017 -57.57
2016 -30.87
2015 4.95
2014 8.98
2013 4.95
2012 2.81
2011 3.49
2010 -11.23
2009 -1.67
2008 1.81
2007 30.38
2006 201.43
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Axtec Valuation

Details

Historical Valuation Multiples

Price-to-Earnings Ratio (P/E)

The P/E ratio divides Axtec's share price by its earnings per share. It tells you how many years of current earnings you are "paying for" when you buy the stock. A P/E of 20 means you pay $20 for every $1 of annual earnings. The S&P 500 historically trades at an average P/E of roughly 15–17. A P/E significantly above that may signal high growth expectations; one below may indicate undervaluation — or declining business quality.

Price-to-Sales Ratio (P/S)

The P/S ratio divides market capitalization by total revenue. Unlike the P/E ratio, it works even for companies that are not yet profitable, making it essential for evaluating high-growth firms. A P/S below 1.0 may indicate undervaluation, while ratios above 10 are typically reserved for fast-growing tech or SaaS companies with high expected future margins.

Price-to-EBIT Ratio

This ratio relates Axtec's market price to its operating earnings, excluding the effects of debt structure and tax jurisdiction. It is particularly useful for comparing companies across different countries or with different levels of leverage, because it focuses purely on operational profitability. Lower values suggest cheaper operational earnings.

How to Use This Chart

This chart plots Axtec's valuation multiples over time. Compare the current P/E, P/S, and P/EBIT to their own historical averages — if the current ratio is well below the multi-year average, the stock may be relatively cheap compared to its own track record. Combine this with industry comparisons: a P/E that looks high in absolute terms may be justified if Axtec grows earnings faster than its peers.

Axtec Stock analysis

What does Axtec do? Axiom Properties Ltd is a British real estate company specializing in the acquisition, construction, and management of residential and commercial properties. The company was founded in 2006 by CEO Daniel Falcone and is headquartered in London. The company's business model is based on the belief that the value of real estate increases over time and long-term investments can provide good returns. Axiom Properties Ltd specializes in various areas including the development of residential and commercial properties, as well as the purchase and management of commercial properties for rental purposes. The company offers a wide range of products and services including comprehensive office space solutions for small and medium-sized businesses, development management services, and rental services for residential and commercial properties. Axiom Properties Ltd has a strong focus on quality, sustainability, and community impact in its projects, and has built a solid reputation for its professionalism and high standards in the UK real estate market. Axtec is one of the most popular companies on Eulerpool.

Frequently Asked Questions about Axtec stock

EV/EBIT (Enterprise Value to EBIT) of Axtec is -3.28 in 2026.

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Valuation — Axtec

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