Vitrolife AB (publ)
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
30.4034.2544.1351.6352.6156.0081.66188.2463.98-6.84-7.8356.00
Price/Sales ratio
6.498.679.8113.0114.1514.4818.8038.197.797.508.3914.48
Price/Book Value ratio
4.737.428.2511.1010.9111.9511.634.181.502.072.2611.95
Price/Cash Flow ratio
22.7732.3646.3543.6046.6251.8665.71167.0239.6334.8236.7651.86
Price/Free Cash Flow ratio
24.2636.6450.1545.1196.2265.7169.64199.4345.9241.3146.0065.71
Price/Earnings Growth ratio
0.330.6310.591.323.042.34-3.2315.05-31.670.00-0.072.34
Dividend Yield
0.61%0.52%0.62%0.41%0.49%0.43%N/A0.13%0.43%0.43%0.45%0.45%
Profitability Indicator Ratios
Gross Profit Margin
68.38%67.11%65.56%65.15%66.10%63.41%61.63%62.23%55.04%56.32%52.82%63.41%
Operating Profit Margin
28.07%31.30%29.06%32.57%34.21%32.96%29.70%25.90%20.22%-102.19%21.58%32.96%
Pretax Profit Margin
28.77%31.40%29.07%32.58%34.61%33.28%29.39%27.36%16.60%-105.69%-102.42%33.28%
Net Profit Margin
21.37%25.31%22.23%25.19%26.89%25.86%23.02%20.28%12.18%-109.65%-107.09%25.86%
Effective Tax Rate
25.49%19.16%23.18%22.38%22.04%22.09%21.38%25.30%26.62%-3.74%-4.56%22.09%
Return on Assets
11.21%17.26%15.22%18.53%18.24%17.89%12.44%1.75%1.91%-23.58%-22.53%17.89%
Return On Equity
15.56%21.68%18.69%21.50%20.74%21.33%14.25%2.22%2.35%-30.27%-29.16%21.33%
Return on Capital Employed
17.63%24.37%22.80%26.47%25.49%25.19%17.38%2.35%3.28%-22.75%4.74%25.19%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A2.91N/A
Quick Ratio
1.352.372.074.144.524.656.831.141.872.692.354.65
Cash ratio
0.671.511.182.933.223.405.490.660.931.541.273.40
Days of Sales Outstanding
73.0452.5756.9253.5959.9859.2263.4493.6261.1752.27N/A59.22
Days of Inventory outstanding
207.32157.16180.33150.75150.76140.76155.82179.93101.6698.2687.76140.76
Operating Cycle
280.37209.73237.25204.35210.75199.98219.26273.56162.83150.5487.76199.98
Days of Payables Outstanding
50.3933.4130.0630.6330.0119.7519.7999.4845.4340.6841.3730.01
Cash Conversion Cycle
229.98176.31207.19173.71180.74180.22199.46174.07117.40109.8546.38180.22
Debt Ratios
Debt Ratio
0.080.040.030.00N/A-0.01-0.010.120.100.120.11-0.01
Debt Equity Ratio
0.120.050.030.00N/A-0.02-0.010.150.120.150.14-0.02
Long-term Debt to Capitalization
0.070.040.000.00N/AN/AN/A0.110.100.120.12N/A
Total Debt to Capitalization
0.100.050.030.00N/A-0.02-0.010.130.110.130.12-0.02
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A9.35N/A
Cash Flow to Debt Ratio
1.694.074.78650.39N/A-10.34-10.080.160.290.380.420.42
Company Equity Multiplier
1.381.251.221.161.131.191.141.261.221.281.281.13
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.280.260.210.290.300.270.280.220.190.210.220.27
Free Cash Flow / Operating Cash Flow Ratio
0.930.880.920.960.480.780.940.830.860.840.790.48
Cash Flow Coverage Ratio
1.694.074.78650.39N/A-10.34-10.080.160.290.380.420.42
Short Term Coverage Ratio
5.6516.294.843.85KN/A-10.34-10.080.894.156.647.177.17
Dividend Payout Ratio
18.54%17.96%27.58%21.62%26.13%24.10%N/A25.45%27.66%-2.98%-3.54%24.10%