BTB Real Estate Investment Trust
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
10.46
Price/Sales ratio
2.24
Earnings per Share (EPS)
CA$0.39

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
11.5317.527.807.115.4811.32-9.8116.817.986.9013.925.48
Price/Sales ratio
2.212.082.342.732.593.262.382.902.541.972.293.26
Price/Book Value ratio
0.830.870.800.800.750.850.640.720.650.520.620.85
Price/Cash Flow ratio
4.053.974.325.215.066.474.805.164.593.566.755.06
Price/Free Cash Flow ratio
4.063.984.325.225.096.474.825.182.303.576.655.09
Price/Earnings Growth ratio
-0.27-0.440.060.500.25-0.270.05-0.100.08-0.790.130.13
Dividend Yield
7.60%8.34%8.25%8.00%8.41%7.05%8.57%6.22%7.08%8.81%8.79%8.41%
Profitability Indicator Ratios
Gross Profit Margin
56.54%56.65%56.33%55.09%54.49%54.37%55.13%56.14%58.93%58.97%58.16%54.49%
Operating Profit Margin
56.54%56.65%56.33%55.09%54.49%54.37%55.13%56.14%58.93%58.97%50.76%54.37%
Pretax Profit Margin
19.17%11.89%30.09%38.42%47.28%54.41%3.13%41.42%31.92%28.63%16.73%54.41%
Net Profit Margin
19.17%11.89%30.09%38.42%47.28%28.83%-24.30%17.30%31.92%28.63%16.73%28.83%
Effective Tax Rate
159.02%257.12%94.93%70.59%52.49%47.00%874.10%58.22%-12.89%N/A42.02%47.00%
Return on Assets
2.19%1.36%3.35%3.69%4.83%2.87%-2.43%1.53%3.23%2.98%1.73%2.87%
Return On Equity
7.25%4.97%10.37%11.31%13.85%7.57%-6.60%4.29%8.25%7.66%4.50%7.57%
Return on Capital Employed
6.62%6.65%6.40%5.42%5.69%6.12%6.50%5.54%6.57%7.20%5.57%6.12%
Liquidity Ratios
Current Ratio
0.940.630.800.420.750.060.16N/AN/AN/A0.390.06
Quick Ratio
0.820.630.820.360.830.070.120.130.130.090.390.39
Cash ratio
0.470.320.500.100.460.010.060.060.020.000.040.01
Days of Sales Outstanding
7.299.9112.3720.9613.5514.8520.4620.1014.7139.1943.6413.55
Days of Inventory outstanding
21.47N/A-2.8313.02-14.25-2.59-12.420.00-27.92N/AN/A-14.25
Operating Cycle
28.769.919.5433.99-0.7012.258.0320.10-13.2139.1943.64-0.70
Days of Payables Outstanding
137.26103.5197.32183.53156.39153.70160.11180.23149.21136.04156.79156.39
Cash Conversion Cycle
-108.49-93.59-87.78-149.54-157.10-141.45-152.08-160.13-162.42-96.84-113.14-157.10
Debt Ratios
Debt Ratio
0.670.700.650.640.720.590.590.600.580.580.600.60
Debt Equity Ratio
2.222.552.021.982.071.551.601.691.481.501.561.55
Long-term Debt to Capitalization
0.680.710.660.660.640.560.540.590.560.530.590.59
Total Debt to Capitalization
0.680.710.660.660.670.600.610.620.590.600.610.60
Interest Coverage Ratio
1.641.671.761.811.851.801.78N/AN/AN/A1.771.80
Cash Flow to Debt Ratio
0.090.080.090.070.070.080.080.080.090.090.050.08
Company Equity Multiplier
3.303.633.093.062.862.632.702.792.552.572.582.63
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.540.520.540.520.510.500.490.560.550.550.340.50
Free Cash Flow / Operating Cash Flow Ratio
0.990.990.990.990.990.990.990.991.990.990.990.99
Cash Flow Coverage Ratio
0.090.080.090.070.070.080.080.080.090.090.050.08
Short Term Coverage Ratio
N/AN/AN/AN/A0.520.530.340.620.760.441.060.52
Dividend Payout Ratio
87.72%146.32%64.36%56.94%46.17%79.9%-84.14%104.64%56.54%60.91%104.46%46.17%