Spreadsheet Data
Audit the saved peer set and the method inputs behind the blended fair value.
Review the saved peer set across price, scale, operating metrics, and raw valuation multiples.
| Peer | Price | Market Cap | Enterprise Value | Revenue | EBITDA |
|---|
| Net Income |
|---|
| P/E |
|---|
| P/S |
|---|
| EV/EBITDA |
|---|
MB MBI MBIA INC FY ended Feb 19, 2026 | $4.79 | $244.37M | $390.37M | $80.00M | $27.00M | -$177.00M | -1.34x | 3.05x | 5.14x |
RD RDN RADIAN GROUP INC FY ended Feb 18, 2026 | $36.41 | $4.82B | $841.68M | $1.20B | $837.26M | $582.64M | 8.79x | 4.02x | 0.92x |
AX AXS AXIS CAPITAL HOLDINGS LTD FY ended Feb 23, 2026 | $99.52 | $7.34B | $34.37B | $6.56B | $1.30B | $1.01B | 8.06x | 1.12x | 25.18x |
TH THG HANOVER INSURANCE GROUP, INC. FY ended Feb 18, 2026 | $227.67 | $7.93B | $19.67B | $6.59B | $878.90M | $662.50M | 12.54x | 1.20x | 22.38x |
See which peer averages feed the weighted fair value and which methods are excluded.
| Method | Type | Avg. Multiple | Coverage | Implied Equity Value | Fair Value / Share | Status |
|---|---|---|---|---|---|---|
EV / EBITDA EVActive | Enterprise Multiple | 26.89x | 4/4 | $16.09B | $365.85 | Included in the active peer mix. |
Price / Sales PSActive | Equity Multiple | 2.35x | 4/4 | $2.61B | $59.30 | Included in the active peer mix. |
Price / Earnings PEActive | Equity Multiple | 7.01x | 4/4 | $3.53B | $80.21 | Included in the active peer mix. |
Open the saved peer table used to audit the fair value view.
| Peer | Price | Market Cap | Enterprise Value | Revenue | EBITDA | Net Income | P/E | P/S | EV/EBITDA |
|---|---|---|---|---|---|---|---|---|---|
MB MBI MBIA INC FY ended Feb 19, 2026 | $4.79 | $244.37M | $390.37M | $80.00M | $27.00M | -$177.00M | -1.34x | 3.05x | 5.14x |
RD RDN RADIAN GROUP INC FY ended Feb 18, 2026 | $36.41 | $4.82B | $841.68M | $1.20B | $837.26M | $582.64M | 8.79x | 4.02x | 0.92x |
AX AXS AXIS CAPITAL HOLDINGS LTD FY ended Feb 23, 2026 | $99.52 | $7.34B | $34.37B | $6.56B | $1.30B | $1.01B | 8.06x | 1.12x | 25.18x |
TH THG HANOVER INSURANCE GROUP, INC. FY ended Feb 18, 2026 | $227.67 | $7.93B | $19.67B | $6.59B | $878.90M | $662.50M | 12.54x | 1.20x | 22.38x |
Open the peer-average inputs behind the weighted result.
| Method | Type | Avg. Multiple | Coverage | Implied Equity Value | Fair Value / Share | Status |
|---|---|---|---|---|---|---|
EV / EBITDA EVActive | Enterprise Multiple | 26.89x | 4/4 | $16.09B | $365.85 | Included in the active peer mix. |
Price / Sales PSActive | Equity Multiple | 2.35x | 4/4 | $2.61B | $59.30 | Included in the active peer mix. |
Price / Earnings PEActive | Equity Multiple | 7.01x | 4/4 | $3.53B | $80.21 | Included in the active peer mix. |