US Equities Analysis

CBOE — Cboe Global Markets

Research evidence pack

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2. Company Fundamentals

2.1 Competitiveness

Metric Value
Operating Margins 39.72%
Profit Margins 25.77%
Return on Equity 25.14%
Return on Assets 10.59%
Free Float 0.1B
Dividend Yield 1.19%
Short Int % Utilisation 2.98%

2.2 Growth

Metric Value
Revenue Growth 6.5%
Free Cash Flow 1.0B
EBITDA 17.35 (Ratio)
Enterprise Value 30.96B
EV/Revenue 6.46
EV/EBITDA 17.35

Revenue growth of 6.5% indicates steady, moderate expansion.

2.3 Management

Role Metric
Consensus Rating N/A

2.4 Return

Metric Value
Expected Return (Ann.)* 26.84%
Risk / Std Dev (Ann.)* 32.42%
1-Year Price Return* 20.14%

Latest Market Data (as of 2026-08-14, US Eastern time):

Metric Value
Last Price $296.14
52-Week Range $227.15 – $371.18
Observation Count 251 trading days

The return and risk statistics use daily adjusted closes from the retrieved one-year series and annualise daily moments using 252 trading days. The last price is the latest regular-market price reported for the stated date. Source: Yahoo Finance market data.

2.5 Valuation & Cash Flow

Data status: a sector-specific method is required. The post does not publish a mechanical UFCF/WACC conclusion for this issuer.

Available valuation input Value
Last market price $295.00
Market capitalisation $30.81B
Reported free cash flow $1.68B
FCF yield 5.46%
Net debt / EBITDA -0.38x

2.6 Investor-Style Research Screen

Educational screen Result
Buffett-inspired cash-quality checks not rated — model suitability or data-integrity condition not met
Lynch-inspired balance-and-growth checks not rated — model suitability or data-integrity condition not met

Data lineage: Yahoo Finance public market and statement data; retrieval timestamp: 2026-08-17 23:29:26.376224 UTC; latest reported fiscal period: 2025-12-31 00:00:00. A screen result is an evidence flag, not a buy or sell instruction.

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