Moog Inc. (MOG.A) Valuation

Historical valuation analysis based on 500 data points (2024-09-26 to 2026-09-24)

Moog Inc. manufactures precision motion and fluid control systems for aerospace, defense, and industrial markets. Its four segments are Space and Defense, Military Aircraft, Commercial Aircraft, an...

Moog Inc. (MOG.A) currently trades at a P/E ratio of 142.79 (historical range: 56.30–166.15, median: 77.70), placing it at the 90th percentile — expensive relative to its history, P/S ratio of 8.70 (range: 3.43–10.12, 90th percentile — expensive relative to its history), EV/EBITDA of 117.00 (range: 50.47–134.97, 90th percentile).

Over the historical period (2024-09-26 to 2026-09-24), Moog Inc.'s P/E ratio has expanded by 65% over the observed period (from an average of 70.7 to 116.6).

Moog Inc. trades well above its own historical valuation range across most metrics.

Historical Valuation Metrics

MetricCurrentMinMedianMaxPercentileAssessment
P/E Ratio142.7956.3077.70166.1590thexpensive relative to its history
P/S Ratio8.703.434.7310.1290thexpensive relative to its history
EV/EBITDA117.0050.4766.93134.9790thexpensive relative to its history
FCF Yield0.010.010.010.0210thexpensive relative to its history
Current Price: $382.75
Market Cap: $12.1B
Sector: Industrials

Moog Inc. (MOG.A) Valuation & P/E History

Moog Inc. (MOG.A) is a US-listed stock operating in the Industrials sector, specifically the Misc Industrial & Commercial Machinery & Equipment industry currently trading at $382.75 with a market capitalization of $12.1 billion. This page provides historical valuation analysis for MOG.A based on 500 data points covering 2024-09-26 to 2026-09-24. The P/E ratio of 142.79 is above the historical median of 77.70, placing MOG.A at the 90th percentile of its valuation range. The P/S ratio of 8.70 compares to a median of 4.73.

MOG.A Valuation Metrics & Historical Range

The valuation table above shows Moog Inc.'s current and historical valuation multiples, including P/E ratio, P/S ratio, EV/EBITDA, FCF yield, and dividend yield. Each metric is compared to its own historical range to determine whether MOG.A is currently trading above or below its typical valuation levels.

  • P/E ratio: Price-to-earnings measures how much investors pay per dollar of earnings. A P/E above the historical median suggests MOG.A is expensively valued; below the median suggests it is cheap.
  • P/S ratio: Price-to-sales is useful for companies with volatile or negative earnings. Lower P/S relative to history may indicate value.
  • EV/EBITDA: Enterprise value to EBITDA adjusts for debt and cash, providing a capital-structure-neutral valuation measure for Moog Inc..
  • FCF yield: Free cash flow yield shows the cash return relative to market price. Higher yields may indicate undervaluation.

Is MOG.A Overvalued or Undervalued?

Moog Inc. trades well above its own historical valuation range across most metrics. The overall valuation percentile of 90 combines P/E, P/S, and EV/EBITDA percentiles into a single measure of how expensive MOG.A is relative to its own history. A percentile below 25 suggests the stock may be undervalued, while a percentile above 75 suggests it may be overvalued.

However, valuation is only one factor in investment decisions. A stock can remain "overvalued" for years if growth accelerates, or "undervalued" if the business deteriorates. Always combine valuation analysis with financial statement analysis and the full MOG.A analysis page for a complete picture.

Valuation data is computed from historical price and fundamental data via Polygon.io and Finnhub.MOG.A trades on NYSE/NASDAQ. This page is for informational purposes only and is not financial advice.