GF Securities Co Stock

GF Securities Co EV/EBIT

The EV/EBIT (Enterprise Value to EBIT) of GF Securities Co (000776.SZ) as of Aug 4, 2026 is 13.49. In the previous year, EV/EBIT (Enterprise Value to EBIT) was 17.36 — a change of -22.31% (lower).

EV/EBIT

13.49

YoY

-22.31%

Last updated:

EV/EBIT (Enterprise Value to EBIT) of GF Securities Co is 2026 13.49 . EV/EBIT (Enterprise Value to EBIT) of GF Securities Co was 2025 17.36 . It decreases by -22.31% lower compared to the previous year.

The GF Securities Co EV/EBIT history

  • 3 Years

  • 10 Years

  • 25 Years

  • Max

PRICE-TO-EBIT
Date
PRICE-TO-EBIT
Jan 1, 2019
11.77 base
Jan 1, 2020
9.96 base
Jan 1, 2021
11.77 base
Jan 1, 2022
11.73 base
Jan 1, 2023
12.24 base
Jan 1, 2024
10.78 base
Jan 1, 2025 (e)
14.28 base
Jan 1, 2026 (e)
11.44 base
YEARPRICE-TO-EBIT
2026 est 11.44
2025 est 14.28
2024 10.78
2023 12.24
2022 11.73
2021 11.77
2020 9.96
2019 11.77
2018 18.56
2017 11.17
2016 11.73
2015 7.66
2014 23.09
2013 20.63
2012 33.77
2011 22.29
2010 23.47
2009 -
2008 -
2007 -
2006 129.41
2005 22.91
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GF Securities Co Valuation

Details

Historical Valuation Multiples

Price-to-Earnings Ratio (P/E)

The P/E ratio divides GF Securities Co'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 GF Securities Co'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 GF Securities Co'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 GF Securities Co grows earnings faster than its peers.

GF Securities Co Stock analysis

What does GF Securities Co do? GF Securities Co Ltd is a leading investment banking and brokerage company in China. It was founded in 1991 and is headquartered in Guangzhou. It is listed on the Hong Kong and Shanghai stock exchanges. The company has over 200 branches in China and is active in investment banking, asset management, fund management, equity trading, and foreign exchange trading. GF Securities' business model is based on providing financial services to a wide range of customers, including institutions, private clients, companies, and governments. The company strives to offer its customers an innovative and comprehensive range of financial products and services to achieve their investment goals. GF Securities operates in various segments, including investment banking, traditional brokerage, asset management, as well as insurance and real estate. The investment banking division of GF Securities specializes in services such as mergers and acquisitions, equity and debt issuances, structured finance, and financial advisory. In the traditional brokerage segment, GF Securities offers services such as stock trading, foreign exchange trading, and futures trading. In the asset management segment, the company provides investment advice and asset management services for high-net-worth clients. GF Securities also offers a wide range of financial products, including stocks, bonds, funds, derivatives, and foreign exchange. The company also conducts research and analysis reports on various industries and companies to help its clients make investment decisions. In 2015, GF Securities expanded into the international market by acquiring a majority stake in a Hong Kong-based investment bank, strengthening its position in the global financial market. Furthermore, the company has also invested in stock trading platforms to expand its offering of online trading services. As one of the leading Chinese investment banking and brokerage companies, GF Securities has received various awards and recognitions, including the title of "Best Broker in China" in 2015 and 2017, as well as the title of "Best Investment Bank in China" in 2017 from Asiamoney magazine. Overall, GF Securities is a major player in the Chinese financial market with a wide range of financial products and services. The company has successfully established itself as a leading investment bank and has built a strong presence in the international market. GF Securities Co is one of the most popular companies on Eulerpool.

Frequently Asked Questions about GF Securities Co stock

EV/EBIT (Enterprise Value to EBIT) of GF Securities Co is 13.49 in 2026.

EV/EBIT (Enterprise Value to EBIT) of GF Securities Co changed from 17.36 to 13.49, representing a -22.31% change. The value is lower than the previous year.

On Eulerpool you can find the complete historical development of EV/EBIT (Enterprise Value to EBIT) GF Securities Co since 2006 – with annual values, charts, and detailed analysis.

The EV/EBIT ratio measures a company's enterprise value relative to its operating earnings. It accounts for debt, making it useful for comparing companies with different capital structures.

EV/EBIT = Enterprise Value / Earnings Before Interest and Taxes

To evaluate EV/EBIT (Enterprise Value to EBIT)'s, it is essential to compare it with peers in the same industry and sector. On Eulerpool, you can find direct industry comparisons for EV/EBIT (Enterprise Value to EBIT).

A 'good' varies by industry and company stage. On Eulerpool, you can compare EV/EBIT (Enterprise Value to EBIT)'s GF Securities Co with sector peers and the industry average to assess whether it is attractive.

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Valuation — GF Securities Co

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