Check this out, it has an EV/EBITDA of 8.9 - is that what you guys get. Roughly speaking 800 mil in Ebitda and EV of roughtly 7.1B I netted out cash and debt as they are about the same. Not bad as under 10 is good.
I think so, if insiders sell and the Ebitda stays the same which I have no indication it will change then the number will get better as EV decreases. It is a buy, just no sure where, my belief (and this is without a market correction of 10% or better) is right around 61.00. i stated earlier that a double bottom near 61.30 would be a good entry point and I will stick with that. Good luck. Here are a few others CAt = 7.15x, URI = 7.52X, AAPL = 6.3X, MSFT = 6.16X all good companies.