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BCGBinah Capital Group, Inc.
$1.56$26M
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Binah Capital Group, Inc. (BCG) Financial Ratios

Latest Ratios: P/E Ratio 39.0x · EV/EBITDA 5.7x · ROE 120.5%. (2020–2025 historical series)

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly

BCG Valuation Multiples

Price-based multiples — how expensive the stock is relative to earnings, sales, book value, and cash flow

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Market Cap$26M$49M$49M————
Enterprise Value$43M$65M$70M————
P/E Ratio →39.0072.00—————
P/S Ratio0.140.270.30————
P/B Ratio10.1918.8139.63————
P/FCF5.159.60—————
P/OCF5.099.49—————

P/E links to full P/E history page with 30-year chart

BCG EV Ratios

Enterprise-value multiples — capital-structure-neutral measures of total business value

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
EV / Revenue—0.360.43————
EV / EBITDA5.698.7128.03————
EV / EBIT6.2713.8279.77————
EV / FCF—12.85—————

BCG Profitability

Margins and return-on-capital ratios measuring operating efficiency

Margins

Full margin charts and quarterly trend are on the Earnings History page

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Gross Margin7.6%7.6%7.2%6.4%7.3%7.3%8.2%
Operating Margin3.7%3.7%0.9%0.5%1.2%1.2%-1.5%
Net Profit Margin1.3%1.3%-3.2%0.4%0.5%1.7%-3.1%

Return on Capital

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
ROE120.5%120.5%-167.1%11.4%16.4%48.4%-64.0%
ROA3.4%3.4%-7.9%0.8%1.3%4.0%-5.3%
ROIC17.4%17.4%2.9%1.2%3.2%3.0%-2.7%
ROCE15.2%15.2%3.2%2.8%7.2%4.1%-3.6%

BCG Leverage & Debt

Solvency and debt-coverage ratios — lower is generally safer

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Debt / Equity10.0910.0923.418.347.987.517.67
Debt / EBITDA3.493.4911.5221.8210.8312.8169.64
Net Debt / Equity—6.3517.336.926.376.336.40
Net Debt / EBITDA2.202.208.5318.128.6510.8058.18
Debt / FCF—3.24—14.296.2018.7021.48
Interest Coverage2.232.230.221.091.451.70-0.44

BCG Liquidity & Efficiency

Short-term solvency ratios and asset-utilisation metrics

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Current Ratio0.900.900.900.910.290.960.87
Quick Ratio0.900.900.900.910.290.960.87
Cash Ratio0.380.380.350.370.120.340.36
Asset Turnover—2.592.472.372.512.261.72
Inventory Turnover———————
Days Sales Outstanding———————

BCG Shareholder Yields

Earnings, FCF, buyback, and dividend yields — total returns to shareholders

Dividends

Full dividend history and growth charts are on the Dividend History page

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Dividend Yield3.1%1.7%0.2%————
Payout Ratio———35.0%—80.0%—

Total Shareholder Return Metrics

MetricTTMFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Earnings Yield2.6%1.4%—————
FCF Yield19.4%10.4%—————
Buyback Yield0.0%0.0%0.0%————
Total Shareholder Yield3.1%1.7%0.2%————
Shares Outstanding—$17M$17M$16M$16M$16M$16M

Key Metrics

Growth RegimeExpanding
ProfitabilityStrained
Balance SheetVulnerable
Cash FlowMixed
Top Statement Risk

High operating leverage sensitivity

Verified Source

Metrics are mathematically derived from official filings.

SEC 10-K (2026Q1)

Premium Multiples Despite Operational Fragility

Based on reported financial data, BCG trades at a 38.00x TTM P/E ratio, which appears disconnected from its thin 1.27% net margin and historical earnings volatility, suggesting that the market may be pricing in aggressive future consolidation synergies rather than current fundamental performance metrics.

The current valuation implies a growth-oriented narrative that is not yet supported by consistent bottom-line expansion. Investors should monitor whether the firm can justify these multiples through sustained margin improvement, as the current P/S of 0.14 reflects a market that remains skeptical of the firm's long-term earnings power.

Inconsistent Capital Compounding Trends

As reported in recent financial statements, BCG's ROIC has fluctuated significantly, ranging from a low of -4.3% in 2024Q1 to a peak of 7.3% in 2026Q1, indicating that the firm has struggled to consistently generate returns above its cost of capital during its integration phase.

The volatility in ROIC suggests that the firm's capital allocation strategy is highly sensitive to the timing of acquisitions and the subsequent integration of advisor practices. This inconsistency warrants further investigation into whether the firm can achieve stable compounding as it scales its aggregator infrastructure.

Working Capital Constraints Limit Agility

According to historical quarterly filings, BCG maintains a consistent asset turnover ratio near 0.65, which, when combined with a current ratio that frequently dips below 1.0, suggests that the firm's working capital efficiency is constrained by its reliance on high-volume, low-margin brokerage activities.

The lack of significant improvement in asset turnover indicates that the firm's infrastructure is not yet benefiting from the expected economies of scale. Investors should monitor the firm's ability to optimize its cash conversion cycle, as current levels provide little room for operational error.

Debt Service Risks Remain Elevated

Based on the company's reported figures, the debt-to-equity ratio has exhibited extreme instability, peaking at 25.26 in 2025Q2 before moderating to 1.26 in 2026Q1, which highlights the significant refinancing and solvency risks inherent in the firm's current capital structure during periods of market stress.

The erratic nature of the firm's leverage suggests that debt service capacity is highly vulnerable to fluctuations in operating income. The interest coverage ratio, which has frequently dipped into negative territory, indicates that the firm's ability to meet its obligations remains precarious and warrants close monitoring.

Misapplication of Traditional P/E Multiples

The P/E ratio is frequently misapplied to BCG, as it obscures the firm's high payout structure and the significant portion of revenue that is immediately passed through to independent advisors, making net income a poor indicator of the firm's actual economic scale and operational health.

Analysts should instead focus on net revenue—defined as total revenue minus advisor payouts—to better understand the capital available for corporate operations and debt service. Relying on standard P/E multiples likely leads to an inaccurate assessment of the firm's true earnings quality and competitive positioning.

Download Financial Ratios Data

Includes 30+ ratios · 6 years · Updated daily

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BCG — Frequently Asked Questions

Quick answers to the most common questions about buying BCG stock.

What is Binah Capital Group, Inc.'s P/E ratio?

Binah Capital Group, Inc.'s current P/E ratio is 39.0x. The historical average is 72.0x.

What is Binah Capital Group, Inc.'s EV/EBITDA?

Binah Capital Group, Inc.'s current EV/EBITDA is 5.7x. This enterprise value multiple compares the company's total value (equity + debt - cash) to its EBITDA. The historical average is 18.4x.

What is Binah Capital Group, Inc.'s ROE?

Binah Capital Group, Inc.'s return on equity (ROE) is 120.5%. This is above the typical threshold of 15-20% considered good for most companies. The historical average is -5.7%.

Is BCG stock overvalued?

Based on historical data, Binah Capital Group, Inc. is trading at a P/E of 39.0x. Compare with industry peers and growth rates for a complete picture.

What is Binah Capital Group, Inc.'s dividend yield?

Binah Capital Group, Inc.'s current dividend yield is 3.13%.

What are Binah Capital Group, Inc.'s profit margins?

Binah Capital Group, Inc. has 7.6% gross margin and 3.7% operating margin.

How much debt does Binah Capital Group, Inc. have?

Binah Capital Group, Inc.'s Debt/EBITDA ratio is 3.5x, indicating high leverage. A ratio between 2-4x is manageable but warrants monitoring.