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››EIX

Edison International (EIX) Stock Valuation — PE Analysis

Regulated Electric · NYSE

Current Price

$67.94

Intrinsic Value

Use the calculator below to estimate

Calculate EIX Fair Value Using PE Ratio

Run a PE ratio stock valuation on Edison International with auto-filled earnings data, adjustable target PE, and instant fair value estimate.

Company Overview

Edison International, through its subsidiaries, generates and distributes electric power. It delivers electricity to 15 million residential, commercial, industrial, public authorities, agricultural, and other customers across Southern, Central, and Coastal California. The company also provides energy solutions to commercial and industrial users. Its transmission facilities consist of lines ranging from 55 kV to 500 kV and substations; and distribution system consists of approximately 39,000 circuit-miles of overhead lines, approximately 31,000 circuit-miles of underground lines, and 800 substations. The company was founded in 1886 and is headquartered in Rosemead, California.

Financial Metrics — EIX PE Stock Valuation Data

Earnings Yield

14.15%

ROE (TTM)

21.5%

Based on trailing twelve-month data, EIX has earnings per share of N/A and trades at a PE ratio of N/A. These are key inputs for stock valuation using the PE ratio method.

Frequently Asked Questions

What is the PE ratio of EIX?

The trailing twelve-month PE ratio of EIX reflects how much investors pay per dollar of Edison International's earnings. This metric is most useful when compared to Regulated Electric peers and the company's own historical range.

Is EIX overvalued based on PE ratio?

Whether EIX is overvalued depends on comparing its PE ratio to Regulated Electric peers, historical averages, and growth expectations. A PE above the sector average may indicate overvaluation, but high-growth companies often command premium multiples. Consider pairing PE analysis with a DCF model for a more complete picture.

How do I value EIX stock using PE ratio?

To value Edison International using PE: (1) Compare the current PE against the Regulated Electric median to assess relative pricing, (2) check the PEG ratio to adjust for growth expectations, (3) review the 5-year PE range to identify where the stock sits historically, and (4) estimate fair value by multiplying a target PE by forward EPS estimates. This relative approach complements DCF's absolute valuation.

What is the PEG ratio of EIX?

The PEG ratio divides the PE ratio by the expected earnings growth rate, providing a growth-adjusted valuation metric. A PEG below 1.0 may indicate undervaluation relative to growth, while above 2.0 may suggest overvaluation. PEG is most reliable for companies with stable, predictable earnings growth.

Should I use PE ratio or DCF for EIX stock valuation?

PE ratio gives a quick relative read — how EIX is priced versus Regulated Electric peers. DCF provides an absolute value based on projected free cash flows. For EIX, with a strong ROE of 21.5%, both methods are worth using — PE for a market-relative check, DCF to stress-test whether fundamentals justify the price. Each method has blind spots: PE ignores capital structure and cash flow quality, while DCF is sensitive to growth and discount rate assumptions.

Learn More

  • EIX AI Moat & Risk Analysis → — AI-generated competitive moat and investment risk analysis
  • See EIX DCF Valuation → — Intrinsic value via Discounted Cash Flow analysis
  • PE Methodology — Step-by-step guide to PE ratio stock valuation
  • DCF Methodology — Guide to discounted cash flow analysis
  • PE Ratio — Understanding the price-to-earnings ratio
  • Intrinsic Value — How to evaluate stock fair value

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