Compañía Cervecerías Unidas S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
0.020.020.01
Price/Sales ratio
0.000.000.00
Earnings per Share (EPS)
$513.92$546$1.09K

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
19.5623.4421.9026.2710.4840.4740.0925.9134.9439.7832.7810.48
Price/Sales ratio
1.601.891.662.001.802.892.072.071.521.630.832.89
Price/Book Value ratio
2.022.672.403.092.513.962.973.943.143.442.982.51
Price/Cash Flow ratio
11.9612.900.0112.9910.4821.7313.7317.5934.9414.2918.9910.48
Price/Free Cash Flow ratio
-36.8032.260.0124.9718.3351.7224.4142.47-48.3325.5219.4918.33
Price/Earnings Growth ratio
-0.871.70-11.252.790.07-0.51-1.530.24-0.85-3.750.01-0.51
Dividend Yield
3.14%2.33%2.69%2.20%2.32%4.13%2.64%5.31%3.83%1.56%0.00%4.13%
Profitability Indicator Ratios
Gross Profit Margin
53.42%54.27%52.41%52.96%51.77%50.16%47.02%48.01%44.12%46.26%44.43%50.16%
Operating Profit Margin
14.17%14.24%12.33%13.37%26.51%12.83%9.43%13.30%8.06%9.35%6.71%12.83%
Pretax Profit Margin
12.90%12.72%10.92%11.56%25.69%10.18%7.73%12.14%5.00%4.02%3.57%10.18%
Net Profit Margin
8.18%8.06%7.59%7.63%17.20%7.14%5.17%8.01%4.35%4.11%5.12%7.14%
Effective Tax Rate
27.87%26.28%17.75%24.61%29.70%21.53%24.65%27.38%0.19%-14.79%-55.66%21.53%
Return on Assets
6.00%6.62%6.32%6.55%12.75%5.52%3.80%6.99%3.28%3.08%3.51%5.52%
Return On Equity
10.35%11.42%10.99%11.77%23.97%9.79%7.41%15.23%8.98%8.67%9.36%9.79%
Return on Capital Employed
13.22%14.87%13.45%15.07%26.85%12.50%8.74%15.99%7.81%8.76%5.81%12.50%
Liquidity Ratios
Current Ratio
1.811.761.541.551.451.631.84N/AN/AN/A2.061.45
Quick Ratio
1.341.291.071.101.091.131.370.921.461.682.061.09
Cash ratio
0.560.490.300.360.490.400.760.330.740.890.780.49
Days of Sales Outstanding
62.1456.4158.7356.7069.8963.8957.3757.1767.2169.02N/A63.89
Days of Inventory outstanding
105.7696.89102.1896.23100.5697.3990.09103.61119.74116.82N/A97.39
Operating Cycle
167.90153.30160.91152.94170.45161.29147.47160.79186.95185.85N/A161.29
Days of Payables Outstanding
125.2697.27106.01104.91106.81101.6097.93127.11103.3293.22N/A101.60
Cash Conversion Cycle
42.6356.0354.8948.0263.6459.6849.5333.6783.6292.62N/A59.68
Debt Ratios
Debt Ratio
0.090.080.070.090.100.120.180.190.370.370.380.10
Debt Equity Ratio
0.160.140.130.160.190.210.350.411.021.060.990.19
Long-term Debt to Capitalization
0.100.100.080.110.140.140.240.250.470.500.460.14
Total Debt to Capitalization
0.140.120.110.130.160.170.260.290.500.510.490.16
Interest Coverage Ratio
6.748.599.629.4610.207.517.38N/AN/AN/A3.807.51
Cash Flow to Debt Ratio
1.021.451.30K1.461.210.840.600.530.080.220.150.84
Company Equity Multiplier
1.721.721.731.791.871.771.942.172.732.812.581.87
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.130.14121.890.150.170.130.150.110.040.110.080.13
Free Cash Flow / Operating Cash Flow Ratio
-0.320.390.990.520.570.420.560.41-0.720.550.480.48
Cash Flow Coverage Ratio
1.021.451.30K1.461.210.840.600.530.080.220.150.84
Short Term Coverage Ratio
3.327.114.27K7.607.264.635.293.250.693.871.184.63
Dividend Payout Ratio
61.48%54.75%58.94%57.96%24.38%167.53%106.22%137.64%133.97%62.07%55.26%24.38%