Warehouses De Pauw NV
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
15.7910.2712.388.607.849.6515.217.8414.37264.4215.297.84
Price/Sales ratio
10.1311.3111.4013.0613.8017.2019.8327.6415.2914.7410.1517.20
Price/Book Value ratio
1.661.901.561.631.631.802.092.191.181.320.921.80
Price/Cash Flow ratio
11.6911.8713.5815.6814.5125.0125.2834.4814.4220.5416.8114.51
Price/Free Cash Flow ratio
11.6912.4714.9117.2315.2726.9126.1235.7015.0322.4618.8815.27
Price/Earnings Growth ratio
-0.670.10-0.990.140.220.67-0.680.04-0.21-2.810.070.67
Dividend Yield
2.88%2.46%2.56%2.48%2.02%1.77%1.58%1.12%3.23%2.16%4.11%2.02%
Profitability Indicator Ratios
Gross Profit Margin
91.19%91.29%91.45%91.65%92.00%90.47%90.10%90.29%87.33%85.77%83.41%90.47%
Operating Profit Margin
110.07%126.19%114.00%151.47%204.07%215.91%160.53%388.85%38.51%21.55%90.12%215.91%
Pretax Profit Margin
64.79%111.00%93.45%152.46%181.82%185.60%134.46%400.02%103.62%-8.67%70.40%185.60%
Net Profit Margin
64.17%110.10%92.11%151.81%176.00%178.17%130.40%352.50%106.36%5.57%66.20%178.17%
Effective Tax Rate
0.96%0.81%1.43%0.42%1.70%2.60%1.83%10.82%-6.07%174.75%6.04%1.70%
Return on Assets
4.12%7.48%5.96%8.78%9.43%9.32%6.77%16.08%4.98%0.31%3.59%9.32%
Return On Equity
10.55%18.57%12.61%18.98%20.80%18.71%13.79%27.98%8.23%0.50%6.18%18.71%
Return on Capital Employed
8.24%9.35%8.20%9.78%11.95%12.36%9.20%18.95%1.89%1.25%5.04%12.36%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A0.45N/A
Quick Ratio
0.090.080.060.120.130.160.100.200.170.370.450.13
Cash ratio
0.000.000.000.000.000.000.020.020.020.060.120.00
Days of Sales Outstanding
22.1516.3127.5221.3053.6625.3717.7025.4125.6021.77N/A25.37
Days of Inventory outstanding
55.2826.6141.28212.5718.05100.18230.233.8675.15N/AN/A100.18
Operating Cycle
77.4442.9268.80233.8771.72125.56247.9329.27100.7621.77N/A125.56
Days of Payables Outstanding
377.48379.61536.89607.571.06K813.42508.28480.12564.36273.93461.73813.42
Cash Conversion Cycle
-300.04-336.69-468.08-373.69-989.31-687.85-260.34-450.85-463.60-252.16-461.73-989.31
Debt Ratios
Debt Ratio
0.530.530.470.500.480.430.440.350.340.320.350.43
Debt Equity Ratio
1.381.331.001.081.070.880.900.620.560.520.600.88
Long-term Debt to Capitalization
0.510.540.450.470.480.420.420.340.340.330.360.42
Total Debt to Capitalization
0.580.570.500.520.510.460.470.380.350.340.370.46
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A5.79N/A
Cash Flow to Debt Ratio
0.100.110.110.090.100.080.090.100.140.120.090.08
Company Equity Multiplier
2.552.482.112.162.202.002.031.731.651.591.682.00
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.860.950.840.830.950.680.780.801.060.710.600.68
Free Cash Flow / Operating Cash Flow Ratio
10.950.910.910.940.920.960.960.950.910.890.92
Cash Flow Coverage Ratio
0.100.110.110.090.100.080.090.100.140.120.090.08
Short Term Coverage Ratio
0.440.990.660.530.800.530.510.721.943.403.090.80
Dividend Payout Ratio
45.62%25.29%31.79%21.34%15.89%17.16%24.11%8.83%46.52%571.75%51.23%15.89%