NASDAQ
MORN
Last Price
US $170.48
KEY FIGURES
MKT CAP
$6.5B
EPS
TTM
$10.30
PEG
TTM
1.63x
P/E
TTM
16.55x
P/S
TTM
2.66x
YIELD
1.15%
GROWTH
Revenue Y/Y
Profit margin
Current Ratio
Capital Returns
30.01%
Return on equity
ROIC: 14.28%
Valuation History
16.7X
Price to Earnings
EV/EBITDA: 9.9X
Cash flow
Profit margin
11.97%
(FY vs FY)
EBITDA Y/Y
10.95%
(FY vs FY)
Cash flow Y/Y
7.55%
(FY vs FY)
Cash Flow (DCF)
Fair Value
Market $170.48
-8.45%
Default assumptions
EBITDA Multiple
Fair Value
Market $170.48
-38.22%
Default assumptions
Base valuations use default assumptions. Customize in the Valuator.
Valuation
Financial
Performance
Financial stability - Cash flow debt coverage.
Morningstar, Inc. cash flow to debt ratio of 41.89% indicates that the company generates enough cash to cover its debts. This level indicates strong financial health.
Financial risk - Healthy cash flow growth.
Morningstar, Inc.'s free cash flow has decreased -1.40% from $448.90M last year to $442.60M, signaling decreasing performance
Financial risk - Healthy debt to equity ratio.
Morningstar, Inc.'s debt to equity ratio is 1.87, which means that the company's assets are unhealthy financed, signaling financial risk. READ MORE: A ratio over 0.60 means the company finances its assets with debt, signaling financial risk. If ratio is negative, the company spent its own equity and risks bankruptcy
Financial risk - Healthy debt to equity ratio development.
Morningstar, Inc.'s debt has increased relative to shareholder equity from 0.56 last year to 1.87 today, signaling weakened financials
Financial stability - Net debt/EBITDA.
Morningstar, Inc. has a net debt to EBITDA ratio of 1.28x, which is below the 3.00x threshold, indicating healthy leverage and financial stability
Financial stability - ICR.
Morningstar, Inc.'s interest coverage ratio of 12.17 indicates that earnings with good margin can cover interest payments on company debt
Financial risk - Profit margin growth.
Morningstar, Inc.'s profit margin has decreased (-1.23%) in the last year from 16.26% to 16.06%, signaling decreasing performance
Financial risk - Short term assets vs short term liabilities.
Morningstar, Inc.'s short-term liabilities of $1.05G exceed its short-term assets of $1.04G, signaling financial risk
Increasing performance - ROA.
Morningstar, Inc.'s return on assets of 10.10% is higher than the 5.00% threshold, indicating efficient asset utilization
Increasing performance - Absolute return on equity.
Morningstar, Inc.'s return on equity of 30.01%, is higher than 15.00%, indicating good performance
Increasing performance - Earnings quality.
Morningstar, Inc.'s operating cash flow exceeds its net income, indicating high-quality earnings backed by actual cash generation
Increasing performance - Earnings stability.
Morningstar, Inc. had positive net income in 5.00 out of 5 years, indicating stable and consistent earnings
Increasing performance - Free cash flow.
Morningstar, Inc. has positive free cash flow, indicating the company generates cash after capital expenditures
Increasing performance - FCF yield.
Morningstar, Inc. has a free cash flow yield of 6.83%, which is above the 2.00% threshold, indicating strong cash generation relative to market value
Increasing performance - Healthy earnings growth.
Morningstar, Inc.'s yearly earnings has increased 1.16% since last year from $369.90M to $374.20M, signaling increasing performance
Increasing performance - Healthy revenue growth.
Morningstar, Inc.'s yearly revenue has increased 8.05% since last year from $2.28G to $2.46G, signaling increasing performance
Increasing performance - ROIC.
ROIC 14.28% (Source: FMP key-metrics). At or above the 10% threshold. Score: 2 of 2. The company is generating returns above the upper end of the typical US weighted-average cost of capital range under this definition of invested capital.
Increasing performance - 3-year revenue CAGR.
Morningstar, Inc.'s 3-year revenue CAGR of 9.34% is positive, indicating growing revenue over the past 3 years
Increasing performance - Revenue consistency.
Morningstar, Inc. had revenue growth in 5.00 out of 5 years, indicating consistent revenue performance
Increasing performance - ROE consistency.
Morningstar, Inc. had positive ROE in 5.00 out of 5 years, indicating consistent and reliable returns on equity
Overvalued - DCF valuation.
Morningstar, Inc. is overvalued relative to its fair value price of 156.08 based on Discounted Cash Flow model
Undervalued - Earnings yield.
Morningstar, Inc. has an earnings yield of 6.04%, which is above the 4.00% threshold, indicating the stock offers reasonable value relative to its earnings
Overvalued - EBITDA valuation.
Morningstar, Inc. is overvalued relative to its fair value price of 105.33 based on EBITDA multiple model
Undervalued - EV/EBITDA.
Morningstar, Inc. has an EV/EBITDA ratio of 10.17x, which is below the 20.00x threshold, indicating reasonable valuation relative to its operating earnings
Overvalued - PEG ratio value.
Morningstar, Inc. has a PEG-ratio over 1 which is considered overvalued
Overvalued - P/B ratio.
Morningstar, Inc. has a price-to-book ratio of 6.54x, which exceeds the 5.00x threshold, indicating the stock may be overvalued relative to its book value
Undervalued - P/S ratio.
Morningstar, Inc. has a price-to-sales ratio of 2.66x, which is below the 8.00x threshold, indicating reasonable valuation relative to its revenue