Davide Campari-Milano N.V.
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
23.0226.3632.2920.7128.7230.2056.3550.8732.0535.2416.5330.20
Price/Sales ratio
1.902.793.114.064.975.055.976.663.953.991.655.05
Price/Book Value ratio
1.882.642.823.803.933.895.306.103.993.981.913.89
Price/Cash Flow ratio
10.4715.1513.5823.7225.8325.6638.9029.9528.0674.4215.0525.66
Price/Free Cash Flow ratio
13.3818.4316.2032.7834.5034.3756.4742.87425.30-73.34-110.3234.37
Price/Earnings Growth ratio
-1.490.72-4.840.17-1.787.85-1.521.081.60-10.57-6.357.85
Dividend Yield
1.55%0.98%0.97%0.70%0.67%0.61%0.59%0.42%0.63%0.57%1.07%0.67%
Profitability Indicator Ratios
Gross Profit Margin
53.31%55.35%57.02%59.19%60.05%60.85%57.90%59.68%58.88%58.25%63.67%60.05%
Operating Profit Margin
16.34%18.69%18.49%21.71%22.24%20.96%13.08%18.44%18.96%18.50%20.12%20.96%
Pretax Profit Margin
12.44%15.05%13.70%17.99%20.49%19.24%11.82%17.88%17.60%15.98%13.16%19.24%
Net Profit Margin
8.26%10.58%9.63%19.62%17.31%16.73%10.60%13.10%12.34%11.32%10.02%16.73%
Effective Tax Rate
33.26%29.43%29.78%-9.09%15.53%13.02%10.83%27.17%30.21%28.72%23.11%15.53%
Return on Assets
3.66%4.15%3.66%8.06%6.46%6.37%4.12%5.59%5.54%4.95%5.28%6.37%
Return On Equity
8.18%10.04%8.75%18.34%13.69%12.90%9.41%12.00%12.44%11.29%14.03%13.69%
Return on Capital Employed
8.47%9.18%8.00%9.97%9.70%10.47%6.09%9.66%10.05%9.90%12.31%9.70%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A2.61N/A
Quick Ratio
1.201.481.341.931.500.951.181.230.910.951.050.95
Cash ratio
0.450.990.651.100.930.610.720.830.470.500.480.61
Days of Sales Outstanding
N/AN/A80.5863.8160.9673.850.3248.7841.7046.8041.2473.85
Days of Inventory outstanding
241.11245.91267.10242.26302.16313.07321.30310.78330.51375.15408.83302.16
Operating Cycle
241.11245.91347.69306.08363.12386.92321.63359.57372.21421.96450.07363.12
Days of Payables Outstanding
111.86107.19129.12111.11115.31122.02157.15164.43178.23156.09121.90115.31
Cash Conversion Cycle
129.25138.72218.57194.97247.81264.90164.48195.13193.97265.86328.16247.81
Debt Ratios
Debt Ratio
0.340.410.300.310.290.260.340.280.280.320.320.29
Debt Equity Ratio
0.771.000.730.700.620.530.780.610.650.740.710.62
Long-term Debt to Capitalization
0.410.420.400.400.330.200.390.330.370.370.390.33
Total Debt to Capitalization
0.430.500.420.410.380.340.440.370.390.420.410.38
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A11.66N/A
Cash Flow to Debt Ratio
0.230.170.280.220.240.280.170.330.210.070.170.28
Company Equity Multiplier
2.232.412.382.272.112.022.282.142.242.282.192.11
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.180.180.220.170.190.190.150.220.140.050.110.19
Free Cash Flow / Operating Cash Flow Ratio
0.780.820.830.720.740.740.680.690.06-1.01-0.130.74
Cash Flow Coverage Ratio
0.230.170.280.220.240.280.170.330.210.070.170.28
Short Term Coverage Ratio
2.180.643.694.101.190.531.031.943.050.362.061.19
Dividend Payout Ratio
35.76%26.05%31.32%14.61%19.40%18.57%33.47%21.62%20.30%20.42%17.70%18.57%