Ticker League

Current

5393.4×

As of Jun 12, 2026

5-Year Average

304.8×

All-Time High

5736.0×

Jun 11, 2026

All-Time Low

17.4×

Aug 13, 2024

EV/EBITDA daily chart for Syntec Optics Holdings (OPTX)

Jan 26, 2022 – Jun 12, 2026 · 1,099 trading days

EV/EBITDA is not shown for periods when TTM EBITDA was negative.

Historical EV/EBITDA for Syntec Optics Holdings (OPTX) from 2022 to 2025

  • 202557.1×
  • 2024518.9×
  • 202335.6×
  • 202297.1×

About EV/EBITDA at Syntec Optics Holdings (OPTX)

Syntec Optics Holdings (OPTX) EV/EBITDA ratio is 5393.4× as of June 12, 2026. The 5-year average is 304.8×. The sector median currently stands at 19.8×. The current ratio is at the 100th percentile of its own 10-year history.

Syntec Optics Holdings (OPTX) historical EV/EBITDA ratio has ranged from a low of 17.4× (2024) to a high of 5736.0× (2026) in the available daily series.

The EV/EBITDA ratio (the enterprise multiple) compares enterprise value (EV) to trailing twelve-month (TTM) EBITDA. EV is calculated as market capitalisation + total debt − cash & short-term investments. Because EV/EBITDA is capital-structure-neutral and ignores non-cash depreciation and amortisation, it is the standard multiple used in M&A and for cross-company or cross-border comparisons. Note: this calculation uses a simplified EV (minority interest and preferred equity excluded due to data availability), consistent with most public financial-data providers.

Syntec Optics Holdings EV/EBITDA by Year

Syntec Optics Holdings EV/EBITDA 2025: 57.1×

Syntec Optics Holdings (OPTX) EV/EBITDA ratio in 2025 was 57.1×, contracted from 518.9× the prior year.

Syntec Optics Holdings EV/EBITDA 2024: 518.9×

Syntec Optics Holdings (OPTX) EV/EBITDA ratio in 2024 was 518.9×, expanded from 35.6× the prior year.

Syntec Optics Holdings EV/EBITDA 2023: 35.6×

Syntec Optics Holdings (OPTX) EV/EBITDA ratio in 2023 was 35.6×, contracted from 97.1× the prior year.

Syntec Optics Holdings EV/EBITDA 2022: 97.1×

Syntec Optics Holdings (OPTX) EV/EBITDA ratio in 2022 was 97.1×.

EV is calculated as Market Cap + Total Debt − Cash & Short-Term Investments (simplified). Minority interest and preferred equity are excluded due to data availability. This is consistent with the methodology used by most public financial data providers.

Sector peers by EV/EBITDA — chart

Current ratio vs. sector peers. Highlighted bar is this company.

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