Aevis Victoria SA
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
377.5
Price/Sales ratio
1.38
Earnings per Share (EPS)
CHF0.04

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
104.62159.03442.36-964.78-107.146.68-31.52-284.9025.11-36.27-33.77-107.14
Price/Sales ratio
1.321.181.971.521.601.561.431.471.431.551.451.56
Price/Book Value ratio
2.361.993.282.882.862.822.772.503.142.892.692.82
Price/Cash Flow ratio
34.3516.3918.3714.8056.6157.8542.1636.2312.9233.4031.1057.85
Price/Free Cash Flow ratio
-17.06-6.82105.57182.76-12.47-13.55-3.53-50.4936.67-21.57-20.09-13.55
Price/Earnings Growth ratio
-2.47-4.37-11.056.94-0.13-0.000.263.26-0.010.21-4.22-0.00
Dividend Yield
1.22%1.27%0.79%0.93%0.90%6.76%N/AN/A5.71%4.43%1.90%0.90%
Profitability Indicator Ratios
Gross Profit Margin
26.32%25.10%25.97%25.54%25.39%17.12%16.14%16.70%17.99%18.60%18.60%18.60%
Operating Profit Margin
5.71%4.59%6.08%5.36%2.90%-2.37%-6.42%-5.47%-2.66%-4.11%-6.58%-2.37%
Pretax Profit Margin
1.24%0.09%0.88%1.36%-0.41%22.85%-5.71%-0.00%3.52%-4.76%-5.72%22.85%
Net Profit Margin
1.26%0.74%0.44%-0.15%-1.50%23.40%-4.56%-0.51%5.70%-4.29%-4.29%23.40%
Effective Tax Rate
2.29%680.62%41.46%85.60%-174.59%-9.00%7.92%-4811.76%12.88%3.90%3.24%-174.59%
Return on Assets
0.47%0.27%0.13%-0.05%-0.46%13.70%-2.07%-0.24%3.28%-2.11%-2.11%13.70%
Return On Equity
2.26%1.25%0.74%-0.29%-2.67%42.24%-8.80%-0.87%12.53%-7.98%-8.26%42.24%
Return on Capital Employed
2.41%2.06%2.04%2.13%1.10%-1.78%-3.90%-3.79%-1.88%-2.53%-4.05%-1.78%
Liquidity Ratios
Current Ratio
0.870.841.290.820.771.080.80N/AN/AN/A0.950.77
Quick Ratio
1.500.771.180.750.710.980.720.641.040.860.790.71
Cash ratio
0.340.050.080.060.100.150.170.110.220.210.210.10
Days of Sales Outstanding
74.4681.2880.0272.6278.3371.4771.9777.7656.3467.5185.1978.33
Days of Inventory outstanding
16.8416.7918.3017.2017.9216.8918.3717.7914.0816.7616.7616.89
Operating Cycle
91.3198.0898.3389.8296.2688.3690.3595.5670.4284.28101.9696.26
Days of Payables Outstanding
63.9781.9088.0888.1891.1663.5668.5669.7162.2471.7871.7871.78
Cash Conversion Cycle
27.3416.1710.251.635.1024.7921.7825.848.1812.4930.175.10
Debt Ratios
Debt Ratio
0.550.580.580.580.560.390.520.460.520.520.520.52
Debt Equity Ratio
2.662.673.243.313.241.202.241.672.021.991.991.99
Long-term Debt to Capitalization
0.720.700.760.740.730.510.640.510.650.630.630.63
Total Debt to Capitalization
0.720.720.760.760.760.540.690.620.660.660.660.66
Interest Coverage Ratio
1.401.091.301.000.61-2.38-2.12N/AN/AN/A-1.52-2.38
Cash Flow to Debt Ratio
0.020.040.050.050.010.040.020.040.120.040.040.01
Company Equity Multiplier
4.764.605.535.685.723.084.233.563.813.773.773.77
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.030.070.100.100.020.020.030.040.110.040.040.02
Free Cash Flow / Operating Cash Flow Ratio
-2.01-2.400.170.08-4.53-4.26-11.92-0.710.35-1.54-1.54-4.53
Cash Flow Coverage Ratio
0.020.040.050.050.010.040.020.040.120.040.040.01
Short Term Coverage Ratio
1.380.383.600.540.100.320.140.111.490.360.360.10
Dividend Payout Ratio
127.91%203.44%350.93%-903.79%-96.50%45.24%N/AN/A143.53%-160.79%-160.79%45.24%