Q: I have a research report for North American O&G producers, large or SMID. It includes the following ‘scatter plot’ graphs.
• EV/EBITDA vs 2025E Levered FCF Yield
• EV/EBITDA vs 2025E D/CF
• EV/EBITDA vs 2025E ROCE
• 2025 CFPS vs Strip & Consensus
How would you rank or use these graphs to evaluate a company ? Thanks.
• EV/EBITDA vs 2025E Levered FCF Yield
• EV/EBITDA vs 2025E D/CF
• EV/EBITDA vs 2025E ROCE
• 2025 CFPS vs Strip & Consensus
How would you rank or use these graphs to evaluate a company ? Thanks.