Guerbet SA
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
12.159.91
Price/Sales ratio
0.500.47
Earnings per Share (EPS)
€3.08€3.78

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
16.5319.4330.3421.9714.2314.0922.9314.47-5.1810.2710.4214.09
Price/Sales ratio
1.051.561.131.250.840.640.580.640.280.300.400.64
Price/Book Value ratio
1.662.692.782.961.811.351.131.160.560.640.871.35
Price/Cash Flow ratio
7.2011.7127.5821.4110.274.223.624.268.238.934.854.85
Price/Free Cash Flow ratio
11.2224.03-48.87207.6431.888.107.487.64-8.65-17.3710.8310.83
Price/Earnings Growth ratio
0.590.35-1.100.3717.51-0.69-0.440.180.02-0.060.16-0.69
Dividend Yield
1.41%0.79%0.91%1.05%1.60%2.02%2.10%1.86%5.03%2.57%1.84%1.60%
Profitability Indicator Ratios
Gross Profit Margin
75.85%39.36%34.26%30.17%25.89%25.56%22.11%23.99%25.10%74.08%74.81%25.89%
Operating Profit Margin
9.56%11.68%7.34%9.41%8.43%6.48%4.91%5.02%4.04%4.86%6.97%6.97%
Pretax Profit Margin
8.85%12.46%6.06%7.52%7.66%5.54%2.06%3.25%-4.39%3.87%4.99%5.54%
Net Profit Margin
6.38%8.02%3.72%5.72%5.92%4.56%2.56%4.45%-5.45%2.99%3.89%4.56%
Effective Tax Rate
27.92%35.60%38.52%23.90%22.64%17.58%-24.05%-37.08%-24.27%28.03%26.52%22.64%
Return on Assets
5.49%4.34%2.81%4.84%4.33%3.69%1.92%3.26%-4.37%2.32%3.14%3.69%
Return On Equity
10.08%13.89%9.19%13.50%12.76%9.59%4.95%8.05%-10.83%6.30%8.54%9.59%
Return on Capital Employed
11.44%8.98%8.10%11.00%10.55%6.67%4.69%4.81%4.34%4.85%7.31%7.31%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A2.51N/A
Quick Ratio
0.921.091.091.080.711.271.301.230.971.201.150.71
Cash ratio
0.150.200.290.280.230.370.480.480.170.220.160.37
Days of Sales Outstanding
70.40150.38110.6589.3289.7478.8073.8880.6078.6968.6074.6778.80
Days of Inventory outstanding
369.02268.77190.02176.33178.58143.39135.72133.70178.79540.23562.62178.58
Operating Cycle
439.42419.16300.67265.66268.33222.20209.61214.30257.48608.83637.30268.33
Days of Payables Outstanding
141.01101.2087.8750.9751.0240.6742.3753.1567.09164.48159.8751.02
Cash Conversion Cycle
298.41317.95212.79214.68217.30181.53167.23161.15190.38444.35477.43217.30
Debt Ratios
Debt Ratio
0.160.370.380.360.380.350.350.310.300.350.360.36
Debt Equity Ratio
0.301.201.251.021.120.920.920.770.760.960.980.98
Long-term Debt to Capitalization
0.140.510.510.450.340.460.450.410.410.480.480.34
Total Debt to Capitalization
0.230.540.550.500.520.480.470.430.430.490.490.49
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
0.770.190.080.130.150.340.340.350.080.070.180.15
Company Equity Multiplier
1.833.193.262.782.942.592.572.472.472.702.682.68
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.130.040.050.080.150.160.150.030.030.080.08
Free Cash Flow / Operating Cash Flow Ratio
0.640.48-0.560.100.320.520.480.55-0.95-0.510.440.32
Cash Flow Coverage Ratio
0.770.190.080.130.150.340.340.350.080.070.180.15
Short Term Coverage Ratio
1.681.620.480.720.294.184.004.241.026.743.780.29
Dividend Payout Ratio
23.34%15.53%27.68%23.24%22.86%28.55%48.38%27.00%-26.10%26.43%19.26%28.55%