Bath & Body Works
Financial ratios & Valuation

Forward Multiples (2026 – 2028)

2026202620262027202720272028
Price/Earnings ratio
7.748.058.067.617.167.236.06
Price/Sales ratio
0.961.011.010.960.970.970.90
Earnings per Share (EPS)
$3.82$3.67$3.67$3.88$4.12$4.09$4.87

Historical Multiples (2010 – 2022)

2010 2010 2011 2011 2012 2016 2017 2019 2020 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
13.2913.0310.7010.3613.0317.5511.779.40-14.1111.028.9617.55
Price/Sales ratio
0.680.670.890.861.061.801.080.450.951.861.111.06
Price/Book Value ratio
2.722.675.835.6480.85-84.91-18.70-6.96-3.44-9.68-4.73-4.73
Price/Cash Flow ratio
5.074.976.716.498.7411.767.214.394.189.859.668.74
Price/Free Cash Flow ratio
6.126.008.538.2513.1819.2515.158.096.6412.0312.8619.25
Price/Earnings Growth ratio
0.120.140.110.100.870.83-1.88-0.290.080.17-0.710.83
Dividend Yield
3.24%3.30%17.26%17.84%10.32%5.32%9.29%10.99%6.42%0.81%2.09%5.32%
Profitability Indicator Ratios
Gross Profit Margin
35.07%35.07%37.77%37.77%39.14%42.81%40.75%37.00%44.16%48.90%43.97%39.14%
Operating Profit Margin
10.05%10.09%13.35%13.41%11.94%18.03%15.92%9.34%19.24%25.48%17.26%11.94%
Pretax Profit Margin
7.53%7.53%13.01%13.01%11.83%15.91%13.48%6.47%11.24%18.05%13.96%11.83%
Net Profit Margin
5.19%5.19%8.37%8.37%8.20%10.30%9.20%4.86%-6.77%16.91%12.43%8.20%
Effective Tax Rate
31.07%31.07%35.65%35.65%30.72%35.21%31.72%24.85%24.34%24.45%10.98%35.21%
Return on Assets
6.24%6.24%12.47%12.47%13.91%14.75%14.17%7.96%-3.61%22.12%18.53%13.91%
Return On Equity
20.52%20.51%54.53%54.50%620.43%-483.78%-158.84%-74.10%24.41%-87.81%-54.57%-54.57%
Return on Capital Employed
14.83%14.88%25.95%26.07%27.01%33.12%32.53%20.26%13.41%42.41%37.63%27.01%
Liquidity Ratios
Current Ratio
2.452.451.721.721.55N/AN/AN/AN/AN/A1.09N/A
Quick Ratio
1.531.530.900.900.751.611.171.010.821.780.341.61
Cash ratio
1.361.360.750.750.611.350.960.710.631.530.121.35
Days of Sales Outstanding
9.269.268.808.807.677.838.5310.1120.6611.119.827.67
Days of Inventory outstanding
67.5467.5462.9662.9657.6958.9253.7054.63155.6564.26103.2557.69
Operating Cycle
76.8076.8071.7771.7765.3766.7662.2364.75176.3175.37113.0865.37
Days of Payables Outstanding
31.7831.7833.2533.2531.2535.0833.4631.1278.2439.4244.7031.25
Cash Conversion Cycle
45.0145.0138.5238.5234.1231.6828.7733.6298.0635.9468.3734.12
Debt Ratios
Debt Ratio
0.690.690.770.770.970.670.700.710.590.831.070.97
Debt Equity Ratio
2.282.283.373.3643.57-22.08-7.86-6.68-4.02-3.30-3.06-3.06
Long-term Debt to Capitalization
0.550.550.620.620.961.041.141.171.371.451.560.96
Total Debt to Capitalization
N/AN/AN/AN/A0.961.041.141.171.331.431.480.96
Interest Coverage Ratio
3.663.676.176.205.97N/AN/AN/AN/AN/A3.98N/A
Cash Flow to Debt Ratio
0.430.430.510.510.350.320.320.230.200.290.160.32
Company Equity Multiplier
3.283.284.374.3644.58-32.79-11.20-9.30-6.75-3.96-2.84-2.84
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.130.130.130.130.120.150.150.100.220.180.110.15
Free Cash Flow / Operating Cash Flow Ratio
0.820.820.780.780.660.610.470.540.620.810.750.66
Cash Flow Coverage Ratio
N/AN/AN/AN/A0.350.320.320.230.200.290.160.32
Short Term Coverage Ratio
N/AN/AN/AN/A22.21311.552.519.122.298.771.70311.5
Dividend Payout Ratio
43.08%43.08%184.84%184.84%134.58%93.45%109.49%103.41%-90.71%9.00%19.37%93.45%