Bombardier
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
0.25
Price/Sales ratio
0.44
Earnings per Share (EPS)
CA$6.71

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-4.93-0.37-3.47-10.0316.03-2.20-5.33-12.84-28.468.53-38.01-2.20
Price/Sales ratio
0.300.110.210.310.220.220.130.520.520.471.210.22
Price/Book Value ratio
147.98-0.49-0.67-0.90-0.66-0.46-0.09-1.03-1.31-1.57-2.40-0.46
Price/Cash Flow ratio
7.33100.7725.929.746.23-5.20-0.329.633.396.096.20-5.20
Price/Free Cash Flow ratio
-5.47-1.08-3.17-6.03-6.56-2.87-0.2833.675.0814.779.27-6.56
Price/Earnings Growth ratio
0.01-0.000.040.20-0.110.000.05-0.270.59-0.01N/A-0.11
Dividend Yield
2.92%0.94%0.47%0.34%0.53%0.56%2.09%0.62%0.54%0.57%N/A0.56%
Profitability Indicator Ratios
Gross Profit Margin
12.81%10.85%10.50%11.97%14.03%10.15%7.95%15.18%18.18%20.27%17.73%14.03%
Operating Profit Margin
4.06%1.98%-2.69%1.94%4.28%1.78%-6.52%3.58%4.44%9.76%7.16%4.28%
Pretax Profit Margin
-3.67%-28.53%-4.93%-2.93%2.43%-8.50%-1.86%-6.09%-3.55%4.98%-5.02%-5.02%
Net Profit Margin
-6.26%-29.42%-6.25%-3.18%1.42%-10.19%-2.62%-4.09%-1.85%5.53%-3.20%-3.20%
Effective Tax Rate
-68.37%-2.96%-21.56%-16.17%19.49%-19.92%-40.49%32.88%47.96%-22.19%43.43%19.49%
Return on Assets
-4.56%-23.34%-4.47%-2.06%0.92%-6.43%-0.73%-1.95%-1.03%3.57%-1.42%-1.42%
Return On Equity
-3000%131.47%19.49%9.04%-4.17%20.96%1.82%8.06%4.63%-18.51%5.77%-4.17%
Return on Capital Employed
5.76%3.25%-3.41%2.68%5.53%2.90%-6.75%2.72%4.45%12.05%5.67%5.53%
Liquidity Ratios
Current Ratio
0.971.021.131.130.990.880.98N/AN/AN/A1.020.99
Quick Ratio
0.380.430.540.690.640.580.770.460.410.360.380.58
Cash ratio
0.180.230.340.230.250.170.140.350.230.260.230.17
Days of Sales Outstanding
25.6626.8326.0279.6491.7897.4919.0717.9916.4715.5121.3397.49
Days of Inventory outstanding
165.90157.23145.88150.59115.11118.57223.12229.28214.37214.39270.05115.11
Operating Cycle
191.57184.06171.90230.24206.90216.07242.19247.27230.85229.90275.31206.90
Days of Payables Outstanding
63.2263.3649.5069.2891.5784.0269.3262.2367.1188.4184.5484.54
Cash Conversion Cycle
128.35120.70122.40160.95115.32132.04172.87185.04163.73141.483.37132.04
Debt Ratios
Debt Ratio
0.270.390.380.360.360.370.430.550.480.451.220.36
Debt Equity Ratio
182.95-2.20-1.67-1.61-1.63-1.21-1.08-2.28-2.16-2.33-5.46-1.21
Long-term Debt to Capitalization
0.991.842.502.632.575.62-7.231.781.851.751.855.62
Total Debt to Capitalization
0.991.822.482.622.575.6013.431.781.851.75N/A5.60
Interest Coverage Ratio
23.562.57-0.521.392.560.32-0.36N/AN/AN/A0.910.32
Cash Flow to Debt Ratio
0.110.000.010.050.06-0.07-0.280.040.170.11N/A-0.07
Company Equity Multiplier
657.47-5.63-4.35-4.38-4.48-3.25-2.47-4.13-4.46-5.18-4.46-4.48
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.040.000.000.030.03-0.04-0.430.050.150.070.190.03
Free Cash Flow / Operating Cash Flow Ratio
-1.34-92.95-8.16-1.61-0.941.811.120.280.660.410.66-0.94
Cash Flow Coverage Ratio
0.110.000.010.050.06-0.07-0.280.040.170.11N/A-0.07
Short Term Coverage Ratio
14.850.284.4129.559.7-85-1.49N/AN/AN/AN/A-85
Dividend Payout Ratio
-14.44%-0.35%-1.66%-3.48%8.62%-1.24%-11.17%-8.03%-15.62%4.94%N/AN/A