APA Corporation EV/EBITDA
Data as of June 01, 2026
EV/EBITDA
3.47
Enterprise Value
$18.06B
EBITDA (TTM)
$5.21B
Sector
Energy
How It's Calculated
3.47 = $18.06B ÷ $5.21B
What This Means
APA Corporation's EV/EBITDA of 3.5 is on the lower side versus many large-cap peers โ context still depends on growth and leverage.
About APA Corporation
APA Corporation (APA) operates in the Energy sector, specifically in Oil & Gas E&P. With a market capitalization of about $12.88B, it ranks as a large-cap stock โ a major established company.
Shares recently traded near $36.43, within a 52-week range of $17.03 to $45.66 (-20.2% from the high, +113.9% from the low). Beta of 0.37 indicates relatively lower volatility versus the market.
Trailing profit margin is about 18.3%, signaling a solid profit margin for its industry.
Understanding This Metric
EV/EBITDA is widely used when comparing companies with different debt loads because enterprise value includes net debt while EBITDA approximates operating cash earnings power. For APA Corporation, the ratio should be read with growth, capex needs, and cycle position in Energy. Pair EV/EBITDA with free cash flow yield and net debt metrics before drawing conclusions โ especially when EBITDA is depressed or boosted by one-time items.
Using This Number in Practice
Near 3.47x EV/EBITDA, APA Corporation (APA) carries a relatively low EV/EBITDA multiple, which may reflect cyclical trough EBITDA, higher perceived risk, or a cash-generative mature profile. Enterprise value of about $18.06B and EBITDA near $5.21B form the ratio โ adjust for one-time items before treating the headline multiple as comparable.
Credit and LBO workflows often sort names on EV/EBITDA before drilling into free cash flow and maintenance capex. Pair this view with the EV/EBITDA calculator and the APA metrics hub for related valuation pages.
Sector Comparison
Among Energy names on our S&P 100 coverage, APA Corporation's EV/EBITDA of 3.47 can be compared with peers such as XOM (11.57), CVX (10.73), COP (6.67). Sector context helps interpretation, but each company's growth profile and balance sheet differ โ use multiple metrics before drawing conclusions. View all Energy stocks.
Key Takeaways
- APA is grouped in the Energy sector for peer comparisons.
- Recent beta of 0.37 suggests lower-than-market price sensitivity.
- Trailing profit margin of 18.3% provides context for how much earnings support the headline multiple.
Related Tools & Guides
Explore calculators and guides connected to this metric, or view all metrics for APA.
Other APA Metrics
Frequently Asked Questions
What is APA's EV/EBITDA?
EV/EBITDA compares enterprise value to operating earnings before interest, taxes, depreciation, and amortization. APA Corporation's ratio is about 3.47 โ common for comparing leveraged companies in Energy.
Is 3.47 high or low vs peers?
Among Energy peers (e.g. KMI (13.79), SLB (12.10), XOM (11.57)), APA's 3.47 should be read with growth, capex, and debt levels.
When is EV/EBITDA misleading?
EBITDA ignores capex, working capital, and stock-based comp; negative or tiny EBITDA makes the ratio meaningless. Cross-check with free cash flow and net debt.
Calculate the ev/ebitda for any stock with our free calculator.
Open EV/EBITDA Calculator →