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GF Securities Valuation Multiples

Discover revenue and EBITDA valuation multiples for GF Securities and similar public comparables like Nomura, T. Rowe Price, Industrivärden, Riyad Bank and more.

GF Securities Overview

About GF Securities

GF Securities Co Ltd is principally engaged in securities business, the proxy sale of securities investment funds, the provision of futures intermediary services for futures companies, securities investment fund custodian, fund raising, fund sales, asset management, project and investment management, commodity futures brokerage, financial futures brokerage and futures investment advisory, etc. It operates through the following segments: Investment banking, Wealth management, Trading & Institutions, and Investment management.


Founded

1993

HQ

China

Employees

14.0K

Website

gf.com.cn

Financials (LTM)

Revenue: $6B
EBITDA: $2B

EV

$60B

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GF Securities Financials

GF Securities reported last 12-month revenue of $6B and EBITDA of $2B.

In the same LTM period, GF Securities generated $2B in EBITDA and $2B in net income.

Revenue (LTM)


GF Securities P&L

In the most recent fiscal year, GF Securities reported revenue of $6B and EBITDA of $2B.

GF Securities is profitable as of last fiscal year, with EBITDA margin of 38% and net margin of 31%.

See analyst estimates for GF Securities
LTMLast FY202320242025202620272028
Revenue$6B$6B$3B$4B$5B
EBITDA$2B$2B——$2B
EBITDA Margin39%38%——49%
EBIT Margin46%42%——54%
Net Profit$2B$2B$1B$1B$2B
Net Margin34%31%31%36%40%

Financial data powered by Morningstar, Inc.

GF Securities Stock Performance

GF Securities has current market cap of $23B, and enterprise value of $60B.

Market Cap Evolution


GF Securities' stock price is $2.88.

GF Securities share price decreased by 0.4% in the last 30 days, and increased by 33.1% in the last year.

GF Securities has an EPS (earnings per share) of $0.26.

See more trading valuation data for GF Securities
EVMarket CapPrice 1DPrice 1MPrice 3MPrice 12MEPS
$60B$23B0.4%-0.4%1.2%33.1%$0.26

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GF Securities Valuation Multiples

GF Securities trades at 9.4x EV/Revenue multiple, and 23.9x EV/EBITDA.

See NTM and 2027E valuation multiples for GF Securities

EV / Revenue (LTM)


GF Securities Financial Valuation Multiples

As of May 13, 2026, GF Securities has market cap of $23B and EV of $60B.

GF Securities has a P/E ratio of 10.4x.

LTMLast FY202320242025202620272028
EV/Revenue9.4x9.3x17.9x15.3x11.9x
EV/EBITDA23.9x24.3x——24.3x
EV/EBIT20.4x22.1x——22.1x
P/E10.4x11.2x22.0x15.9x11.2x
EV/FCF(198.1x)(222.4x)(41.1x)43.9x(14.2x)

Multiples above and below 250x are considered non-meaningful (n/m). Valuation data powered by FactSet, Inc. and Morningstar, Inc.

Verified GF Securities Valuation Multiples

Access all public comps and forward-looking valuation multiples like EV/Revenue in 2027, based on consensus analyst estimates. Powered by FactSet and Morningstar.

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GF Securities Margins & Growth Rates

GF Securities decreased revenue by 4% but EBITDA grew by 5% in the last fiscal year.

In the most recent fiscal year, GF Securities reported EBITDA margin of 38% and net margin of 31%.

See estimated margins and future growth rates for GF Securities

GF Securities Margins

Last FY202420252026202720282029
EBITDA Margin38%—49%41%
EBIT Margin42%—54%54%
Net Margin31%36%40%41%
FCF Margin(4%)35%(84%)(6%)

GF Securities Growth Rates

FY+1/FY23/2424/2525/2626/2727/2828/29
Revenue Growth(4%)17%29%23%
EBITDA Growth5%——5%
EBIT Growth23%——23%
Net Profit Growth25%38%42%25%
FCF Growth34%(194%)(409%)(91%)

Data powered by FactSet, Inc. and Morningstar, Inc.

GF Securities Operational KPIs

GF Securities' revenue per employee in the last FY averaged $0.5M, while opex per employee averaged $0.2M for the same period.

GF Securities' Rule of 40 is 65% (metric relevant for SaaS companies only, counted as combined revenue growth rate and EBITDA margin).

GF Securities' Rule of X is 99% (created by Bessemer, Rule of X is another metric to measure SaaS companies, ~1.5x stronger vs. the traditional Rule of 40, counted as revenue growth rate multiplied by 2.5 plus EBITDA margin).

Access forward-looking KPIs for GF Securities
LTMLast FY202320242025202620272028
Rule of 4040%65%———
Bessemer Rule of X41%99%———
Revenue per Employee—$0.5M———
Opex per Employee—$0.2M———
S&M Expenses to Revenue—1%1%1%2%
G&A Expenses to Revenue40%37%19%15%13%
Opex to Revenue43%40%64%60%49%

Data powered by FactSet, Inc. and Morningstar, Inc.

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GF Securities Competitors

GF Securities competitors include Nomura, T. Rowe Price, Industrivärden, Riyad Bank, China Securities, Principal Financial Group, Scottish Mortgage IT, Yuanta Financial Holdings, Pershing Square and Sumitomo Mitsui Trust Bank.

Most GF Securities public comparables operate across Asset Management and Investment Banking.

EV/RevenueEV/EBITDA
Last FYLTM2027ELast FYLTM2027E
Nomura2.2x1.7x—4.9x
T. Rowe Price2.6x2.6x6.2x6.5x
Industrivärden5.9x23.3x5.8x6.2x
Riyad Bank7.3x7.2x——
China Securities10.4x11.2x——
Principal Financial Group1.3x1.3x8.3x8.0x
Scottish Mortgage IT13.9x———
Yuanta Financial Holdings4.4x4.5x11.0x—

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GF Securities Investment Activity

GF Securities has invested in 26 companies to date.

Latest investment by GF Securities was on January 16th 2026. GF Securities invested in SuperMagnetic New Energy in their Angel round.

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Latest Investments by GF Securities

SuperMagnetic New Energy
Hurrichip
Xunchi Xunjie
Regenex Corporation
Description
SuperMagnetic New Energy serves as an innovation center and incubator for advanced new energy engineering projects.
Hurrichip is a manufacturer of gallium nitride semiconductor lasers used in chip testing and wafer inspection equipment. Based in the United States, the company produces high-power blue and UV lasers for photomask repair and lithography applications in fabs operated by TSMC and Intel. Hurrichip's devices deliver stable output at 405nm to 450nm wavelengths for precision metrology.
Xunchi Xunjie researches, develops, and operates charging piles for new energy vehicles. The company maintains infrastructure networks supporting electric vehicle adoption in China.
Regenex Corporation is a Chinese pharmaceutical enterprise engaged in research, development, production, and distribution of medicines for reproductive health, chronic diseases, and dermatological conditions. Headquartered in Shanghai, the company markets products such as treatments for erectile dysfunction and hypertension, while employing GPS tracking for sales teams and standardized terminal management systems to optimize distribution across China.
HQ Country—ChinaChinaChina
HQ City
—
Beijing
Chongqing
Guangzhou
Deal Date16 Jan 20261 Jul 20259 Jan 202516 Jun 2023
RoundAngelSeries BSeries ASeries C
Raisedundisclosed$42M$22M$14M
InvestorsCAS Star; Dingfeng Science and Technology Innovation; GF Securities; Glory Ventures; Northern Light Venture Capital; Yidian CapitalChina Reform Holdings Corporation; GF Securities; GF Xinde Investment Management; Lotus Lake Ventures; Peakview Capital; Shenzhen Capital GroupGF Securities; Tengxun TouziChuangyu Investment Management; Fortune Venture Capital; GF Securities; Guangzhou Industrial Investment Group
Valuationundisclosedundisclosed$109Mundisclosed
EV/Revenue
EV/EBITDA

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About GF Securities

When was GF Securities founded?GF Securities was founded in 1993.
Where is GF Securities headquartered?GF Securities is headquartered in China.
How many employees does GF Securities have?As of today, GF Securities has over 14K employees.
Is GF Securities publicly listed?Yes, GF Securities is a public company listed on Shenzhen Stock Exchange.
What is the stock symbol of GF Securities?GF Securities trades under 000776 ticker.
When did GF Securities go public?GF Securities went public in 1997.
Who are competitors of GF Securities?GF Securities main competitors include Nomura, T. Rowe Price, Industrivärden, Riyad Bank, China Securities, Principal Financial Group, Scottish Mortgage IT, Yuanta Financial Holdings, Pershing Square, Sumitomo Mitsui Trust Bank.
What is the current market cap of GF Securities?GF Securities' current market cap is $23B.
What is the current revenue of GF Securities?GF Securities' last 12 months revenue is $6B.
What is the current revenue growth of GF Securities?GF Securities revenue growth (NTM/LTM) is 1%.
What is the current EV/Revenue multiple of GF Securities?Current revenue multiple of GF Securities is 9.4x.
Is GF Securities profitable?Yes, GF Securities is EBITDA-positive (as of the last 12 months).
What is the current EBITDA of GF Securities?GF Securities' last 12 months EBITDA is $2B.
What is GF Securities' EBITDA margin?GF Securities' last 12 months EBITDA margin is 39%.
What is the current EV/EBITDA multiple of GF Securities?Current EBITDA multiple of GF Securities is 23.9x.
What is the current FCF of GF Securities?GF Securities' last 12 months FCF is ($301M).
What is GF Securities' FCF margin?GF Securities' last 12 months FCF margin is (5%).
What is the current EV/FCF multiple of GF Securities?Current FCF multiple of GF Securities is (198.1x).
How many companies GF Securities has acquired to date?GF Securities hasn't acquired any companies yet (or none have been disclosed publicly).
In how many companies GF Securities has invested to date?As of May 2026, GF Securities has invested in 26 companies.
What was the last GF Securities investment?On 16th January 2026 GF Securities invested in SuperMagnetic New Energy, participating in a Angel round, alongside CAS Star, Dingfeng Science and Technology Innovation, Glory Ventures, Northern Light Venture Capital, and Yidian Capital.
In what companies GF Securities invested in?GF Securities invested in Viiyong, Chinac.com, Lyndra Therapeutics, Hurrichip, Eloxx Pharmaceuticals, Xunchi Xunjie, Pi Therapeutics, iGola, Oteao, Regenex Corporation, Loving Medical, Volastra Therapeutics, PHEMI, Physiq, Fotor, Helowin, SocialCredits, Bioarray Therapeutics, ARTMS, Biscayne Pharmaceuticals, and 6 other companies.

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