Aon
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
24.3219.9215.95
Price/Sales ratio
4.744.474.17
Earnings per Share (EPS)
$15.34$18.73$23.40

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.0418.7021.4028.2531.4332.4324.8853.8124.5423.0932.1631.43
Price/Sales ratio
2.322.212.573.463.304.514.425.535.094.425.193.30
Price/Book Value ratio
4.264.245.457.558.5814.7214.0163.65-120.11-71.6912.548.58
Price/Cash Flow ratio
17.0512.8912.8447.1921.1427.0817.6030.9519.7317.2425.3021.14
Price/Free Cash Flow ratio
20.2015.0614.2062.8624.6430.8618.5433.0221.0118.6027.0224.64
Price/Earnings Growth ratio
0.614.423.76-3.13-12.410.830.77-1.570.207.638.53-12.41
Dividend Yield
0.97%1.24%1.15%1.05%1.07%0.82%0.84%0.66%0.72%0.82%0.73%0.82%
Profitability Indicator Ratios
Gross Profit Margin
41.76%41.47%40.53%39.09%43.33%45.02%46.63%44.73%48.09%48.40%79.55%43.33%
Operating Profit Margin
16.32%15.81%16.39%9.79%14.33%19.69%25.13%17.14%29.40%28.29%26.52%14.33%
Pretax Profit Margin
14.65%14.45%14.35%6.85%11.56%16.98%22.27%15.83%25.29%23.69%21.19%11.56%
Net Profit Margin
11.59%11.85%12.00%12.26%10.52%13.91%17.79%10.29%20.74%19.16%16.23%10.52%
Effective Tax Rate
18.92%15.80%14.32%36.49%11.71%15.87%18.17%32.26%16.15%17.07%21.60%11.71%
Return on Assets
4.69%5.09%5.24%4.69%4.29%5.21%6.13%3.93%7.91%7.55%4.88%4.29%
Return On Equity
21.26%22.68%25.49%26.75%27.31%45.39%56.33%118.28%-489.41%-310.41%87.42%27.31%
Return on Capital Employed
13.32%13.15%13.49%7.34%11.76%15.67%18.94%16.25%29.59%30.75%14.32%11.76%
Liquidity Ratios
Current Ratio
1.051.061.051.071.081.051.07N/AN/AN/A1.071.05
Quick Ratio
0.270.300.290.310.310.290.280.240.231.001.070.31
Cash ratio
0.020.020.030.050.040.050.050.020.030.030.040.04
Days of Sales Outstanding
85.3083.0466.1190.4693.53103.13101.2692.6188.7789.74334.2093.53
Days of Inventory outstanding
605.62530.22500.72576.96607.99713.48852.38779.29896.01N/AN/A713.48
Operating Cycle
690.93613.27566.83667.42701.53816.62953.64871.91984.7889.74334.20816.62
Days of Payables Outstanding
93.9294.5984.67117.55116.20116.90124.61118.74119.13119.62307.99116.20
Cash Conversion Cycle
597.00518.67482.16549.87585.32699.71829.03753.17865.65-29.8726.20699.71
Debt Ratios
Debt Ratio
0.180.200.230.220.230.240.240.290.320.320.340.23
Debt Equity Ratio
0.840.931.131.301.502.172.218.85-20.35-13.552.731.50
Long-term Debt to Capitalization
0.420.450.510.550.590.660.670.881.051.090.730.59
Total Debt to Capitalization
0.450.480.530.560.600.680.680.891.051.070.730.60
Interest Coverage Ratio
7.806.116.563.715.537.108.32N/AN/AN/A5.635.53
Cash Flow to Debt Ratio
0.290.350.370.120.270.250.360.230.290.300.180.25
Company Equity Multiplier
4.534.444.865.696.368.719.1830.09-61.82-41.117.986.36
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.130.170.200.070.150.160.250.170.250.250.200.15
Free Cash Flow / Operating Cash Flow Ratio
0.840.850.900.750.850.870.940.930.930.920.930.85
Cash Flow Coverage Ratio
0.290.350.370.120.270.250.360.230.290.300.180.25
Short Term Coverage Ratio
2.093.576.922.456.712.576.211.873.402.85N/A2.57
Dividend Payout Ratio
19.54%23.32%24.71%29.69%33.68%26.76%20.92%35.61%17.88%19.07%22.12%26.76%