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SHO-BOND Holdings Co Valuation Multiples

Discover revenue and EBITDA valuation multiples for SHO-BOND Holdings Co and similar public comparables like Reliance Worldwide Corp, Volution Group, Cairn Homes, Mota-Engil and more.

SHO-BOND Holdings Co Overview

About SHO-BOND Holdings Co

SHO-BOND Holdings Co Ltd is a holding company of businesses engaged in civil engineering and construction work contracting. The group specialises in repairing and reinforcing public infrastructure, such as bridges and roads. It offers investigation and inspection services, manufactures and sells repair and reinforcement materials, and fulfils repair and reinforcement contracts. The group also manufactures and sells synthetic resin adhesives. Sho-Bond Holdings operates primarily in Japan.


Founded

2008

HQ

Japan

Employees

819

Financials (LTM)

Revenue: $582M
EBITDA: $139M

EV

$2B

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SHO-BOND Holdings Co Financials

SHO-BOND Holdings Co reported last 12-month revenue of $582M and EBITDA of $139M.

In the same LTM period, SHO-BOND Holdings Co generated $177M in gross profit, $139M in EBITDA, and $99M in net income.


SHO-BOND Holdings Co P&L

In the most recent fiscal year, SHO-BOND Holdings Co reported revenue of $616M and EBITDA of $146M.

SHO-BOND Holdings Co is profitable as of last fiscal year, with gross margin of 27%, EBITDA margin of 24%, and net margin of 17%.

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LTMLast FY202320242025202620272028
Revenue$582M$616M$540M$562M$578M
Gross Profit$177M$169M$156M$165M$173M
Gross Margin31%27%29%29%30%
EBITDA$139M$146M$125M$134M$138M
EBITDA Margin24%24%23%24%24%
EBIT Margin23%23%22%23%23%
Net Profit$99M$102M$87M$94M$97M
Net Margin17%17%16%17%17%

Financial data powered by Morningstar, Inc.

SHO-BOND Holdings Co Stock Performance

SHO-BOND Holdings Co has current market cap of $2B, and enterprise value of $2B.


SHO-BOND Holdings Co's stock price is $8.48.

SHO-BOND Holdings Co has an EPS (earnings per share) of $0.51.

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EVMarket CapPrice 1DPrice 1MPrice 3MPrice 12MEPS
$2B$2B0.1%$0.51

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SHO-BOND Holdings Co Valuation Multiples

SHO-BOND Holdings Co trades at 2.6x EV/Revenue multiple, and 10.9x EV/EBITDA.

See NTM and 2027E valuation multiples for SHO-BOND Holdings Co

SHO-BOND Holdings Co Financial Valuation Multiples

As of May 10, 2026, SHO-BOND Holdings Co has market cap of $2B and EV of $2B.

SHO-BOND Holdings Co has a P/E ratio of 17.3x.

LTMLast FY202320242025202620272028
EV/Revenue2.6x2.5x2.8x2.7x2.6x
EV/EBITDA10.9x10.4x12.1x11.3x11.0x
EV/EBIT11.1x10.7x12.5x11.7x11.3x
EV/Gross Profit8.5x8.9x9.7x9.1x8.7x
P/E17.3x16.7x19.7x18.2x17.6x
EV/FCF22.4x22.4x23.4x17.8x27.5x

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

Verified SHO-BOND Holdings Co 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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SHO-BOND Holdings Co Margins & Growth Rates

SHO-BOND Holdings Co decreased revenue by 7% and EBITDA by 5% in the last fiscal year.

In the most recent fiscal year, SHO-BOND Holdings Co reported gross margin of 27%, EBITDA margin of 24%, and net margin of 17%.

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SHO-BOND Holdings Co Margins

Last FY202420252026202720282029
Gross Margin27%29%30%31%
EBITDA Margin24%24%24%24%
EBIT Margin23%23%23%23%
Net Margin17%17%17%17%
FCF Margin11%15%10%

SHO-BOND Holdings Co Growth Rates

FY+1/FY23/2424/2525/2626/2727/2828/29
Revenue Growth(7%)4%3%2%
Gross Profit Growth5%6%5%5%
EBITDA Growth(5%)7%3%2%
EBIT Growth(4%)7%4%3%
Net Profit Growth(4%)8%4%2%
FCF Growth31%(35%)

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

SHO-BOND Holdings Co Operational KPIs

SHO-BOND Holdings Co's revenue per employee in the last FY averaged $0.8M, while opex per employee averaged $0.0M for the same period.

SHO-BOND Holdings Co's Rule of 40 is 26% (metric relevant for SaaS companies only, counted as combined revenue growth rate and EBITDA margin).

SHO-BOND Holdings Co's Rule of X is 29% (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 SHO-BOND Holdings Co
LTMLast FY202320242025202620272028
Rule of 4027%26%
Bessemer Rule of X32%29%
Revenue per Employee$0.8M
Opex per Employee$0.0M
Opex to Revenue6%7%6%6%

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

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SHO-BOND Holdings Co Competitors

SHO-BOND Holdings Co competitors include Reliance Worldwide Corp, Volution Group, Cairn Homes, Mota-Engil, Tecnoglass, East Pipes Integrated, Ariston Holding, Systemair, PORR and Ameresco.

Most SHO-BOND Holdings Co public comparables operate across Construction & Engineering and Building Products.

EV/RevenueEV/EBITDA
Last FYLTM2027ELast FYLTM2027E
Reliance Worldwide Corp1.6x1.6x7.8x8.7x
Volution Group3.4x3.0x13.7x11.9x
Cairn Homes1.7x1.6x9.4x9.2x
Mota-Engil0.7x0.7x3.8x3.8x
Tecnoglass1.9x1.8x6.7x7.0x
East Pipes Integrated3.2x12.5x
Ariston Holding0.7x0.7x6.2x5.9x
Systemair1.4x1.4x11.4x10.6x

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SHO-BOND Holdings Co Investment Activity

SHO-BOND Holdings Co has invested in 1 company to date.

Latest investment by SHO-BOND Holdings Co was on May 8th 2017. SHO-BOND Holdings Co invested in Prodrone in their $9M Series A round (EV/Revenue multiple of ).

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Latest Investments by SHO-BOND Holdings Co

Prodrone
Description
Prodrone is a Nagoya-based manufacturer of industrial drone systems including the PD4-AW arm-equipped model, PD6-AW water-resistant variant, PD6B hexacopter, and PD6B-AW for inspection and delivery tasks. Founded in 2015, the company equips drones with high-resolution cameras, LiDAR sensors, and payload capacities up to 10 kilograms for infrastructure surveys, disaster response, and logistics in Japan and Asia.
HQ CountryJapan
HQ City
Nagoya
Deal Date8 May 2017
RoundSeries A
Raised$9M
InvestorsAisan Technology; Canon Marketing Japan; KDDI; Mitsubishi; Nagoya Small and Medium Business Investment & Consultation; SHO-BOND
Valuationundisclosed
EV/Revenue
EV/EBITDA

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About SHO-BOND Holdings Co

When was SHO-BOND Holdings Co founded?SHO-BOND Holdings Co was founded in 2008.
Where is SHO-BOND Holdings Co headquartered?SHO-BOND Holdings Co is headquartered in Japan.
How many employees does SHO-BOND Holdings Co have?As of today, SHO-BOND Holdings Co has over 819 employees.
Is SHO-BOND Holdings Co publicly listed?Yes, SHO-BOND Holdings Co is a public company listed on Tokyo Stock Exchange.
What is the stock symbol of SHO-BOND Holdings Co?SHO-BOND Holdings Co trades under 1414 ticker.
When did SHO-BOND Holdings Co go public?SHO-BOND Holdings Co went public in 2008.
Who are competitors of SHO-BOND Holdings Co?SHO-BOND Holdings Co main competitors include Reliance Worldwide Corp, Volution Group, Cairn Homes, Mota-Engil, Tecnoglass, East Pipes Integrated, Ariston Holding, Systemair, PORR, Ameresco.
What is the current market cap of SHO-BOND Holdings Co?SHO-BOND Holdings Co's current market cap is $2B.
What is the current revenue of SHO-BOND Holdings Co?SHO-BOND Holdings Co's last 12 months revenue is $582M.
What is the current revenue growth of SHO-BOND Holdings Co?SHO-BOND Holdings Co revenue growth (NTM/LTM) is 3%.
What is the current EV/Revenue multiple of SHO-BOND Holdings Co?Current revenue multiple of SHO-BOND Holdings Co is 2.6x.
Is SHO-BOND Holdings Co profitable?Yes, SHO-BOND Holdings Co is EBITDA-positive (as of the last 12 months).
What is the current EBITDA of SHO-BOND Holdings Co?SHO-BOND Holdings Co's last 12 months EBITDA is $139M.
What is SHO-BOND Holdings Co's EBITDA margin?SHO-BOND Holdings Co's last 12 months EBITDA margin is 24%.
What is the current EV/EBITDA multiple of SHO-BOND Holdings Co?Current EBITDA multiple of SHO-BOND Holdings Co is 10.9x.
What is the current FCF of SHO-BOND Holdings Co?SHO-BOND Holdings Co's last 12 months FCF is $68M.
What is SHO-BOND Holdings Co's FCF margin?SHO-BOND Holdings Co's last 12 months FCF margin is 12%.
What is the current EV/FCF multiple of SHO-BOND Holdings Co?Current FCF multiple of SHO-BOND Holdings Co is 22.4x.
How many companies SHO-BOND Holdings Co has acquired to date?SHO-BOND Holdings Co hasn't acquired any companies yet (or none have been disclosed publicly).
In how many companies SHO-BOND Holdings Co has invested to date?As of May 2026, SHO-BOND Holdings Co has invested in 1 company.
What was the last SHO-BOND Holdings Co investment?On 8th May 2017 SHO-BOND Holdings Co invested in Prodrone, participating in a $9M Series A round, alongside Aisan Technology, Canon Marketing Japan, KDDI, Mitsubishi, Nagoya Small and Medium Business Investment & Consultation, and SHO-BOND.
In what companies SHO-BOND Holdings Co invested in?SHO-BOND Holdings Co invested in Prodrone.

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