Grupo Aval Acciones y Valores S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
0.000.00
Price/Sales ratio
0.000.00
Earnings per Share (EPS)
$1.79K$2.34K

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
11.457.758.4910.004.98118.91113.0181.6570.92313.53264.914.98
Price/Sales ratio
1.581.061.071.100.7029.6722.6719.3217.4019.782.220.70
Price/Book Value ratio
1.261.091.161.200.8132.1425.3320.1117.2413.8012.440.81
Price/Cash Flow ratio
1.371.517.313.841.66113.2252.2378.43-1.27K127.97-17.10113.22
Price/Free Cash Flow ratio
1.491.8921.365.261.98163.2665.36126.97-207.42452.61-4.90163.26
Price/Earnings Growth ratio
11.721.411.76-1.200.04-1.26-8.263.64-2.21-3.820.00-1.26
Dividend Yield
5.90%8.05%6.93%6.65%7.77%0.19%0.25%0.26%0.14%0.33%0.00%0.19%
Profitability Indicator Ratios
Gross Profit Margin
97.50%84.93%83.89%100.24%98.45%99.92%100%99.93%100%401.95%127.18%98.45%
Operating Profit Margin
30.99%35.19%-16.64%27.60%62.99%23.81%18.16%25.67%100.65%48.91%2.64%23.81%
Pretax Profit Margin
33.17%35.19%32.92%27.60%35.63%34.66%28.05%35.56%38.46%29.77%9.66%34.66%
Net Profit Margin
13.86%13.75%12.63%11.01%14.15%24.95%20.06%23.66%24.54%6.30%2.65%24.95%
Effective Tax Rate
36.28%35.96%36.90%35.66%29.30%27.99%28.47%33.47%36.20%37.57%38.10%29.30%
Return on Assets
0.93%0.93%0.95%0.82%1.12%1.92%1.43%1.54%1.35%0.24%0.25%1.92%
Return On Equity
11.05%14.14%13.71%12.04%16.37%27.02%22.42%24.63%24.30%4.40%4.85%27.02%
Return on Capital Employed
2.1%2.39%-1.26%2.08%5.04%1.85%1.31%1.69%5.55%1.90%0.25%1.85%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/A0.230.27N/AN/AN/AN/A0.23
Quick Ratio
7.3426.96K88.3162.0125.4324.6147.4040.4333.09KN/AN/A24.61
Cash ratio
15.78K7.77K27.4430.2911.1911.2911.389.084.68KN/AN/A11.29
Days of Sales Outstanding
75.9388.40N/A5.62168.91213.88242.62302.75563.08879.12365.25168.91
Days of Inventory outstanding
N/A-12.61K-3.57K379.18K-2.27-13.89N/A-1.49MN/AN/AN/A-2.27
Operating Cycle
75.93-12.52K-3.57K379.19K166.63199.98N/A-1.49MN/A879.12365.25166.63
Days of Payables Outstanding
969.96236.60215.43-15.17K2.12K39.89KN/A71.20KN/A-35.85N/A39.89K
Cash Conversion Cycle
-894.02-12.76K-3.79K394.37K-1.95K-39.69KN/A-1.56MN/A914.97365.25-1.95K
Debt Ratios
Debt Ratio
0.170.170.200.190.110.100.180.00N/A0.210.220.11
Debt Equity Ratio
2.092.622.912.771.641.472.870.03N/A3.904.081.64
Long-term Debt to Capitalization
0.670.720.740.730.620.590.73N/AN/A0.790.800.62
Total Debt to Capitalization
0.670.720.740.730.620.590.740.03N/A0.790.800.62
Interest Coverage Ratio
0.860.90-0.330.59N/AN/AN/AN/AN/AN/A0.03N/A
Cash Flow to Debt Ratio
0.430.270.050.110.290.190.167.32N/A0.02-0.170.19
Company Equity Multiplier
11.7615.1114.3614.5214.5914.0415.6315.9417.9517.9418.4414.59
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
1.150.700.140.280.420.260.430.24-0.010.15-0.410.26
Free Cash Flow / Operating Cash Flow Ratio
0.920.800.340.730.830.690.790.616.160.281.100.83
Cash Flow Coverage Ratio
0.430.270.050.110.290.190.167.32N/A0.02-0.170.19
Short Term Coverage Ratio
N/AN/AN/AN/AN/AN/A11.597.32N/AN/AN/AN/A
Dividend Payout Ratio
67.59%62.53%58.92%66.62%38.74%23.61%28.72%21.71%10.34%103.72%111.00%38.74%