Barry Callebaut AG
Financial ratios & Valuation

Forward Multiples (2026 – 2027)

20262027
Price/Earnings ratio
22.5920.54
Price/Sales ratio
1.081.00
Earnings per Share (EPS)
CHF97.54CHF107.27

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
24.5331.9425.0326.6129.9534.6833.3230.4419.0239.7235.1429.95
Price/Sales ratio
0.931.031.111.361.511.591.771.350.990.720.641.59
Price/Book Value ratio
3.283.543.584.174.624.654.763.782.912.652.344.65
Price/Cash Flow ratio
25.6711.1511.0618.3819.9519.8418.1723.62-39.30-3.65-3.2419.84
Price/Free Cash Flow ratio
272.4115.0115.0028.3132.8740.3629.8458.09-18.51-3.20-2.8840.36
Price/Earnings Growth ratio
-4.10-3.750.850.987.36-2.361.55-5.040.82-0.690.350.35
Dividend Yield
1.46%1.14%1.12%0.73%1.18%1.30%0.94%1.39%1.81%2.10%2.38%1.18%
Profitability Indicator Ratios
Gross Profit Margin
13.56%12.92%14.08%16.65%16.37%15.43%15.91%15.04%15.92%13.30%13.34%15.43%
Operating Profit Margin
6.58%6.07%6.57%8.17%8.30%7.34%8.06%8.00%8.05%4.29%4.95%7.34%
Pretax Profit Margin
4.55%3.99%4.97%6.51%6.19%5.51%6.45%5.33%6.31%2.29%2.29%5.51%
Net Profit Margin
3.80%3.25%4.44%5.12%5.06%4.58%5.32%4.45%5.24%1.82%1.82%4.58%
Effective Tax Rate
15.58%17.83%16.96%21.09%18.56%18.19%17.31%16.39%17.21%20.06%20.06%18.56%
Return on Assets
4.36%3.84%5.52%6.10%5.68%4.38%5.22%4.54%5.21%1.24%1.24%4.38%
Return On Equity
13.38%11.09%14.31%15.69%15.43%13.42%14.31%12.42%15.34%6.68%6.61%13.42%
Return on Capital Employed
12.91%12.04%12.47%15.43%14.34%10.47%11.18%13.44%15.77%6.97%8.03%10.47%
Liquidity Ratios
Current Ratio
1.441.461.631.541.691.83N/AN/AN/AN/A1.371.83
Quick Ratio
0.710.750.910.850.901.021.030.740.610.730.731.02
Cash ratio
0.050.200.210.180.240.580.500.280.110.110.110.58
Days of Sales Outstanding
24.4946.0921.9224.9622.4320.5124.5524.6922.9461.9461.9422.43
Days of Inventory outstanding
110.26101.9479.8793.06107.71119.58123.06128.83149.94227.91228.00107.71
Operating Cycle
134.75148.04101.79118.03130.14140.09147.62153.52172.89289.86289.94130.14
Days of Payables Outstanding
44.0670.5139.2341.4537.7540.8453.6763.8258.6173.3973.4237.75
Cash Conversion Cycle
90.6977.5262.5676.5792.3999.2593.9489.70114.27216.46216.5292.39
Debt Ratios
Debt Ratio
0.340.330.270.250.280.350.280.220.170.290.290.28
Debt Equity Ratio
1.050.970.710.650.781.090.790.620.521.571.570.78
Long-term Debt to Capitalization
0.390.370.350.330.380.460.410.300.230.510.510.38
Total Debt to Capitalization
0.510.490.410.390.430.520.440.380.340.610.610.43
Interest Coverage Ratio
3.623.614.396.144.335.15N/AN/AN/AN/A3.525.15
Cash Flow to Debt Ratio
0.120.320.450.340.290.210.330.25-0.14-0.46-0.450.21
Company Equity Multiplier
3.062.882.582.562.713.062.742.732.945.375.372.71
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.030.090.100.070.070.080.090.05-0.02-0.19-0.190.08
Free Cash Flow / Operating Cash Flow Ratio
0.090.740.730.640.600.490.600.402.121.131.120.60
Cash Flow Coverage Ratio
0.120.320.450.340.290.210.330.25-0.14-0.46-0.450.21
Short Term Coverage Ratio
0.320.821.981.641.600.953.620.90-0.34-1.37-1.370.95
Dividend Payout Ratio
35.86%36.66%28.14%19.61%35.51%45.15%31.44%42.54%34.56%83.74%83.74%35.51%