How to determine fair EBITDA multiple for nano-micro cap companies?

Say I am looking into the healthcare space (general for simplicities sake). I find a company I want to acquire and their EBITDA is 10 MM. Now, I can easily pull industry average multiple, but the EBITDA multiple will not correlate well because of the difference in key factors such as risk, competition, position within the market, etc.

Any advice on how to approximate a multiple in a reasonable manner?

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Best Response

This x100. When we were making pitchbooks on the IB side we had an MD who would stroll by and say "make the football field chart show a valuation window between $xMM and $yMM." He knew the client and the players in space well enough to know at what multiples a deal would actually happen so for him it was about managing expectations, rather than putting forth what the data are telling you as the answer.

We would then have to cherry pick our comps, precedents, and, to put it lightly, take some "artistic liberties" with our DCF model to make it look like we used some scientific approach to arrive at that figure. Fun times..

 

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