Caterpillar
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
7.987.358.057.30
Price/Sales ratio
N/AN/AN/AN/A
Earnings per Share (EPS)
CHF22.29CHF24.19CHF22.09CHF24.38

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
15.2819.40-787.93124.2711.7513.8929.9316.2618.3512.8813.3211.75
Price/Sales ratio
1.020.861.362.061.321.572.142.072.071.982.731.32
Price/Book Value ratio
3.372.754.016.845.145.805.856.407.756.837.335.14
Price/Cash Flow ratio
7.006.119.4116.4311.0112.2414.1814.6615.8410.3311.2411.01
Price/Free Cash Flow ratio
12.0711.9419.6927.8319.8319.9421.3022.3323.8113.5918.6919.94
Price/Earnings Growth ratio
7.47-0.477.64-0.090.013.13-0.600.132.770.22-1.813.13
Dividend Yield
2.86%4.30%3.40%1.95%2.70%2.51%2.49%2.20%1.98%1.92%1.89%2.51%
Profitability Indicator Ratios
Gross Profit Margin
26.80%26.97%24.99%30.28%31.07%30.51%28.92%29.43%29.46%31.72%35.83%31.07%
Operating Profit Margin
9.65%6.92%2.83%9.69%15.15%15.40%10.90%13.49%13.30%19.33%20.22%15.15%
Pretax Profit Margin
9.21%6.07%0.36%8.97%14.29%14.52%9.56%16.09%14.72%19.55%20.41%14.29%
Net Profit Margin
6.69%4.47%-0.17%1.65%11.23%11.32%7.18%12.73%11.28%15.41%16.26%11.23%
Effective Tax Rate
27.14%25.98%138.12%81.79%21.70%22.35%25.18%21.23%23.61%21.20%20.53%22.35%
Return on Assets
4.36%2.67%-0.08%0.97%7.82%7.76%3.82%7.83%8.18%11.81%12.37%7.82%
Return On Equity
22.06%14.19%-0.51%5.50%43.78%41.76%19.55%39.36%42.25%53.01%57.97%43.78%
Return on Capital Employed
9.37%6.23%2.25%8.80%16.49%15.99%8.65%12.99%15.67%24.58%24.57%16.49%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A1.39N/A
Quick Ratio
0.950.930.890.970.951.041.090.980.870.870.851.04
Cash ratio
N/AN/AN/AN/AN/A0.270.360.310.220.200.170.27
Days of Sales Outstanding
50.9251.8456.0659.2158.1257.5562.7562.0455.9152.01105.0658.12
Days of Inventory outstanding
110.29103.13108.77115.36111.56109.99140.26142.45141.68132.05149.98111.56
Operating Cycle
161.21154.97164.83174.58169.68167.55203.01204.49197.59184.06255.05169.68
Days of Payables Outstanding
58.8753.4058.2674.7068.2358.1675.3882.7475.6663.0266.7558.16
Cash Conversion Cycle
102.34101.56106.5799.88101.45109.39127.63121.75121.92121.04188.30101.45
Debt Ratios
Debt Ratio
0.110.110.120.090.100.110.140.110.450.430.430.10
Debt Equity Ratio
0.590.630.690.540.570.610.720.582.331.941.950.57
Long-term Debt to Capitalization
0.350.370.380.350.360.380.380.360.610.550.570.36
Total Debt to Capitalization
0.370.380.400.350.360.380.410.370.700.660.660.36
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A25.01N/A
Cash Flow to Debt Ratio
0.810.700.610.760.810.760.570.740.200.330.330.76
Company Equity Multiplier
5.055.305.685.615.595.375.105.025.164.484.445.37
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.140.140.120.110.120.150.140.130.190.190.11
Free Cash Flow / Operating Cash Flow Ratio
0.580.510.470.590.550.610.660.650.660.760.760.55
Cash Flow Coverage Ratio
0.810.700.610.760.810.760.570.740.200.330.330.76
Short Term Coverage Ratio
15.5212.697.83814.57655.8329.144.42133.290.680.961.04329.14
Dividend Payout Ratio
43.84%83.58%-2685.07%242.83%31.73%34.99%74.81%35.93%36.39%24.79%24.61%34.99%