Catella AB (publ)
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
11.9510.90
Price/Sales ratio
1.861.68
Earnings per Share (EPS)
SEK3.94SEK4.31

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
3.997.226.888.36-17.1920.0817.5823.844.70-135.00-22.6720.08
Price/Sales ratio
0.590.940.930.650.890.961.152.391.271.401.290.89
Price/Book Value ratio
0.741.331.190.921.331.491.462.451.481.421.241.49
Price/Cash Flow ratio
1.743.20-13.675.405.59-1.2314.28-133.8522.93-21.80-7.44-1.23
Price/Free Cash Flow ratio
1.783.34-9.916.556.23-1.2216.59-92.2027.67-18.17-6.87-1.22
Price/Earnings Growth ratio
-0.000.620.58-0.280.10-0.101.000.830.011.30-0.22-0.10
Dividend Yield
N/A0.91%2.61%4.04%4.36%4.58%N/A1.92%2.74%3.73%3.33%4.58%
Profitability Indicator Ratios
Gross Profit Margin
54.25%56.10%53.58%38.68%63.27%60.11%57.93%57.49%63.53%15.03%39.58%60.11%
Operating Profit Margin
11.07%13.71%12.84%14.66%16.30%17.94%19.19%8.24%32.28%7.19%3.79%17.94%
Pretax Profit Margin
17.16%16.52%24.75%16.05%15.60%12.07%13.92%12.74%33.08%2.08%-5.47%12.07%
Net Profit Margin
15.01%13.12%13.54%7.80%-5.18%4.80%6.54%10.03%27.22%-1.04%-5.86%4.80%
Effective Tax Rate
8.06%11.11%28.37%28.10%37.68%47.53%52.98%35.74%17.71%121.42%-9.18%47.53%
Return on Assets
4.98%4.84%4.81%3.00%-1.59%2.78%3.16%3.19%10.80%-0.38%-1.83%2.78%
Return On Equity
18.64%18.42%17.40%11.10%-7.76%7.42%8.31%10.30%31.50%-1.05%-5.30%-7.76%
Return on Capital Employed
10.65%15.07%14.57%14.55%14.20%14.44%11.90%3.07%14.93%3.08%1.63%14.44%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A2.61N/A
Quick Ratio
1.211.221.021.241.302.152.672.853.155.240.942.15
Cash ratio
0.220.240.170.270.150.771.531.512.001.070.490.15
Days of Sales Outstanding
222.78232.36N/A275.4154.94N/A64.01171.76145.1850.71N/AN/A
Days of Inventory outstanding
-21.53-51.18-30.15-22.97-52.47130.74268.761.04K895.14N/A871.00-52.47
Operating Cycle
201.25181.18-30.15252.432.47130.74332.781.21K1.04K50.71871.002.47
Days of Payables Outstanding
82.8268.6981.0659.0140.9643.9752.5688.6462.6229.84187.8940.96
Cash Conversion Cycle
118.42112.49-111.22193.42-38.4986.77280.211.12K977.7020.87683.10-38.49
Debt Ratios
Debt Ratio
0.560.560.540.530.100.230.300.460.430.440.500.10
Debt Equity Ratio
2.112.141.961.960.510.630.801.501.271.211.490.51
Long-term Debt to Capitalization
0.140.13N/A0.220.340.380.440.600.560.540.50.34
Total Debt to Capitalization
0.670.680.660.660.340.380.440.600.560.540.590.34
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A0.33N/A
Cash Flow to Debt Ratio
0.200.19-0.040.080.45-1.910.12-0.010.05-0.05-0.11-1.91
Company Equity Multiplier
3.743.793.613.694.862.662.623.222.912.732.972.66
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.340.29-0.060.120.15-0.770.08-0.010.05-0.06-0.17-0.77
Free Cash Flow / Operating Cash Flow Ratio
0.970.951.370.820.891.010.861.450.821.21.050.89
Cash Flow Coverage Ratio
0.200.19-0.040.080.45-1.910.12-0.010.05-0.05-0.11-1.91
Short Term Coverage Ratio
0.210.20-0.040.10N/AN/AN/A-15.546.66-43.33-0.33N/A
Dividend Payout Ratio
N/A6.58%18.01%33.85%-75%92.03%N/A45.97%12.88%-504.76%-76.19%92.03%