Carel Industries S.p.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
35.6731.5030.34
Price/Sales ratio
3.533.212.88
Earnings per Share (EPS)
€0.74€0.83€0.87

Historical Multiples (2015 – 2023)

2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
3.903.322.6829.7441.5554.5653.6638.7135.1036.1648.05
Price/Sales ratio
0.410.360.323.254.445.776.264.413.823.385.11
Price/Book Value ratio
0.820.780.707.7310.1812.0216.9911.716.615.3111.10
Price/Cash Flow ratio
2.993.572.2132.6929.1733.4448.5734.4024.4022.2931.30
Price/Free Cash Flow ratio
4.596.113.0296.3955.2843.6074.0455.7930.7132.0849.44
Price/Earnings Growth ratio
N/A0.190.11-0.333.11N/A1.301.422.370.361.55
Dividend Yield
5.98%23.94%17.95%3.28%0.68%0.62%0.45%0.62%0.72%1.03%0.85%
Profitability Indicator Ratios
Gross Profit Margin
28.89%27.63%28.86%28.56%25.31%24.04%24.51%26.08%44.82%21.83%24.68%
Operating Profit Margin
15.29%14.89%15.67%12.69%13.05%13.18%13.91%15.04%16.05%13.28%12.87%
Pretax Profit Margin
14.83%15.81%16.40%13.33%13.67%13.36%14.40%14.87%14.33%12.23%13.51%
Net Profit Margin
10.52%10.87%12.18%10.94%10.69%10.58%11.66%11.40%10.91%9.56%10.64%
Effective Tax Rate
29.19%31.22%25.57%17.76%22.13%21.20%19.76%22.95%20.09%19.77%21.66%
Return on Assets
12.27%12.25%13.50%9.67%9.99%8.47%9.66%9.51%7.70%6.84%9.23%
Return On Equity
21.15%23.60%26.35%26.00%24.51%22.03%31.66%30.24%18.84%17.27%23.27%
Return on Capital Employed
24.39%26.18%26.86%17.13%17.10%14.92%17.13%18.19%15.22%12.05%16.01%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/A1.82N/A
Quick Ratio
2.351.821.851.161.281.481.121.091.211.181.38
Cash ratio
0.780.390.530.500.620.870.600.470.650.410.74
Days of Sales Outstanding
85.9088.4178.0778.0865.2863.5472.4872.9356.8562.3664.41
Days of Inventory outstanding
73.8569.5676.2299.5072.8075.9394.6598.15113.6588.9886.15
Operating Cycle
159.76157.98154.30177.59138.08139.47167.13171.09170.51151.35144.71
Days of Payables Outstanding
68.6961.0370.3375.2857.0362.6576.4269.9476.2250.4459.84
Cash Conversion Cycle
91.0796.9483.96102.3181.0576.8190.71101.1494.28100.9091.68
Debt Ratios
Debt Ratio
0.110.210.210.350.310.320.250.260.170.170.31
Debt Equity Ratio
0.190.400.420.960.760.840.830.820.420.370.80
Long-term Debt to Capitalization
0.140.120.150.360.340.350.300.300.240.200.34
Total Debt to Capitalization
0.160.280.290.490.430.450.450.450.290.270.44
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/A7.69N/A
Cash Flow to Debt Ratio
1.390.530.740.240.450.420.410.410.630.640.35
Company Equity Multiplier
1.721.921.952.682.452.593.273.182.442.142.52
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.130.100.140.090.150.170.120.120.150.150.12
Free Cash Flow / Operating Cash Flow Ratio
0.650.580.730.330.520.760.650.610.790.680.43
Cash Flow Coverage Ratio
1.390.530.740.240.450.420.410.410.630.640.35
Short Term Coverage Ratio
7.970.821.300.611.421.250.880.892.572.041.01
Dividend Payout Ratio
23.36%79.63%48.20%97.78%28.53%34.11%24.43%24.13%25.37%36.43%32.48%