Science Applications International CorporationSAIC

Where SAIC's Net Debt / EBITDA sits inside its own 10-year distribution, with the yearly high, low and average.

$129.90+1.14 (+0.89%)Previous close
NASDAQTechnology

SAIC Net Debt / EBITDA: current value, 10-year range and year-by-year history

Net Debt / EBITDA History

Historically priceyAbove avgAround avgBelow avgHistorically cheap
SAIC Net Debt / EBITDA historySAIC Net Debt / EBITDA from Nov 2023 to Jul 2026: low 0.18, high 4.11, latest 0.18.-0.1412.143.284.42Nov 23May 24Nov 24Aug 25Jan 26Jul 26med 3.41

SAIC Net Debt / EBITDA by year

Yearly range of SAIC’s net debt / ebitda from 2016 to 2026. Over the full period it ranged from 0.2 to 6.8, averaging 3.6.

SAIC Net Debt / EBITDA — yearly low, average, high and year-end values
YearLowAverageHighYear-end
20260.22.53.70.2
20253.33.64.14.1
20242.53.13.73.6
20232.32.83.72.3
20223.74.14.23.7
20213.84.14.54.0
20203.74.95.94.7
20194.35.46.84.3
20182.62.82.92.6
20172.62.83.03.0
20162.62.62.62.6

Get notified when SAIC Net Debt / EBITDA crosses a threshold

Free — one alert setup, notifications by push, Telegram, or Discord.

How many years of operating earnings it would take to pay off the company's net debt. The most common leverage ratio — higher means more financial risk and less flexibility.

Formula(Total Debt − Cash) / EBITDA
Full guide
How to read this chart

Watch the trend more than the level. Declining ratio = deleveraging, growing financial flexibility. Rising ratio = increasing leverage, which constrains dividends, buybacks, and future investment.

Key caveats
  • Sector context is essential: 3× is aggressive for a consumer brand but normal for a regulated utility. Always compare to sector peers.
  • Large acquisitions spike the ratio temporarily — check whether the integration plan credibly drives paydown.
Pro — up to 30-year history

Unlock 10y, 15y, 20y, and 30y history with peer comparison and CSV export.