Raymond James Financial, Inc. RJF

159.87 1.11 0.70% as of 25 Sep
Market cap
$30.5B
P/E
13.7×
Indexes indicate stock being part of an index,
Growth Flags show if company had growth for consecutive years

Raymond James Financial, Inc. (RJF) EV/EBITDA

As of 25 September 2026, Raymond James Financial, Inc. (RJF) trades at a EV/EBITDA of 4.5×. Over the past ten years it has ranged from 0.0× (July 2022) to 7.7× (December 2017); the current reading is higher than 65% of that period. That is below the Asset Management industry median of 10.3× and below the Financial sector median of 9.5×.

EV/EBITDA, daily

Annual

Period EV/EBITDA Change
FY2025 5.2× 77.26%
FY2024 2.9× (2.52%)
FY2023 3.0× (19.28%)
FY2022 3.7× 129.54%
FY2021 1.6× (16.37%)
FY2020 1.9× (54.64%)
FY2019 4.3× (25.43%)
FY2018 5.8× (16.85%)
FY2017 6.9× 88.26%
FY2016 3.7× 25.80%

Quarterly

Period EV/EBITDA Change
Jun 2026 4.2× 8.45%
Mar 2026 3.9× (18.93%)
Dec 2025 4.8× (7.71%)
Sep 2025 5.2× 21.74%
42 more quarters

Against its own ten years

Low 0.0× High 7.7×
Ten-year median 4.0×
Current reading's percentile 65

EV/EBITDA against peers

What EV/EBITDA is

Enterprise Value over EBITDA tells an investor how the market values a whole company, with debt added and cash taken off, against its operating earnings.

((Stock Price × Shares (Basic, Weighted) (latest quarter)) + (Long Term Debt (Total) (latest quarter) + Current Part of Debt (latest quarter)) − Cash & Short Term Investments (latest quarter)) ÷ EBITDA (TTM)

The full definition of EV/EBITDA →

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