- Score
- 39/100
- 10Y CAGR
- 10.4%
- Median YoY
- 12.4%
- YoY volatility
- σ 30.7pp· choppy
- Quarters ≥ 15%
- 18 of 40
- Negative quarters
- 12
- Valuation vs own 10Y history
- EV/EBITDA is unavailable for Morgan Stanley: applicability has not been verified for this financial-services business. The current sector-based policy withholds this model until its treatment of debt, cash and cash flows is confirmed for the company.
How this score is computed
- Quarters at or above 15%: 18 of 40 → 18 of 40 pts
- Steadiness (typical swing 30.7pp) → 3.1 of 25 pts
- Pace (median 12.4% YoY) → 3.2 of 20 pts
- Latest quarter (45% YoY) → 15 of 15 pts
- Score: 39 of 100
Annualized ebitda (TTM) · by quarter, last 40
Quarterly YoY ebitda growth vs the 15% line
EV/EBITDA multiple vs its 10Y median
EV/EBITDA N/A for this type of company.