Bastide Le Confort Médical SA
Financial ratios & Valuation

Forward Multiples (2026 – 2026)

2026
Price/Earnings ratio
14.54
Price/Sales ratio
0.63
Earnings per Share (EPS)
€3.54

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
19.6419.5548.0450.5262.7221.8925.9418.9614.13-158.65N/A21.89
Price/Sales ratio
0.780.731.191.250.850.660.780.550.440.26N/A0.66
Price/Book Value ratio
2.492.394.205.424.513.354.293.062.591.79N/A3.35
Price/Cash Flow ratio
5.504.449.847.174.696.415.275.542.512.16N/A6.41
Price/Free Cash Flow ratio
-89.9615.71-466.2429.8110.75-1.41K17.78-39.826.1913.41N/AN/A
Price/Earnings Growth ratio
0.593.63-1.961.55-1.700.141.632.664.611.49N/A-1.70
Dividend Yield
1.20%1.30%0.73%0.55%0.66%0.02%0.61%0.86%0.27%1.14%N/A0.02%
Profitability Indicator Ratios
Gross Profit Margin
64.81%64.94%65.41%64.12%65.76%65.74%63.11%65.51%65.69%8.84%N/A65.74%
Operating Profit Margin
7.64%7.19%5.45%6.67%8.15%8.80%8.44%8.31%8.42%8.34%N/A8.80%
Pretax Profit Margin
6.35%6.12%3.73%3.99%3.36%5.29%4.54%4.48%4.48%3.11%N/A5.29%
Net Profit Margin
3.97%3.74%2.48%2.47%1.36%3.03%3.02%2.92%3.16%-0.16%N/A3.03%
Effective Tax Rate
35.69%38.52%32.31%35.09%43.47%37.81%28.86%28.20%26.18%42.51%N/A37.81%
Return on Assets
4.25%3.81%2.10%1.86%1.15%2.29%2.36%2.16%2.44%-0.13%N/A2.29%
Return On Equity
12.67%12.22%8.76%10.73%7.19%15.33%16.54%16.17%18.33%-1.12%N/A15.33%
Return on Capital Employed
14.09%14.24%6.56%6.89%10.16%9.27%8.90%8.50%9.91%10.26%N/A9.27%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Quick Ratio
0.690.690.900.930.720.750.720.710.600.69N/A0.75
Cash ratio
0.060.210.180.270.160.240.220.120.160.10N/A0.24
Days of Sales Outstanding
65.7362.3473.0171.1364.6655.8856.2863.0258.4473.88N/A55.88
Days of Inventory outstanding
115.05122.28130.59113.6099.12178.22127.44138.94126.4444.64N/A178.22
Operating Cycle
180.79184.63203.60184.74163.79234.10183.72201.97184.88118.52N/A234.10
Days of Payables Outstanding
166.99173.37160.25162.11155.40162.42144.80144.17152.9858.21N/A162.42
Cash Conversion Cycle
13.8011.2643.3522.628.3871.6738.9257.7931.9060.31N/A71.67
Debt Ratios
Debt Ratio
0.350.380.480.550.520.480.470.530.530.52N/A0.48
Debt Equity Ratio
1.051.232.033.183.253.253.333.974.004.24N/A3.25
Long-term Debt to Capitalization
0.400.370.640.740.750.750.750.770.750.78N/A0.75
Total Debt to Capitalization
0.510.550.660.760.760.760.760.790.800.80N/A0.76
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
0.420.430.210.230.290.160.240.130.250.19N/A0.16
Company Equity Multiplier
2.973.204.165.756.236.686.997.487.498.11N/A6.68
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.160.120.170.180.100.140.090.170.12N/A0.10
Free Cash Flow / Operating Cash Flow Ratio
-0.060.28-0.020.240.43-0.000.29-0.130.400.16N/AN/A
Cash Flow Coverage Ratio
0.420.430.210.230.290.160.240.130.250.19N/A0.16
Short Term Coverage Ratio
1.170.822.443.944.612.693.831.191.181.38N/A2.69
Dividend Payout Ratio
23.75%25.54%35.11%27.84%41.79%0.59%15.92%16.35%3.81%-180.88%N/A0.59%