Cineplex
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
12.0412.60
Price/Sales ratio
0.570.55
Earnings per Share (EPS)
CA$1.13CA$1.08

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
37.0122.2740.7733.8520.9074.14-0.94-3.464.51K3.175.15K20.90
Price/Sales ratio
2.282.182.191.540.991.281.401.310.400.380.451.28
Price/Book Value ratio
3.853.904.333.362.373.6224.22-3.92-2.40-13.45-2.753.62
Price/Cash Flow ratio
15.6613.0119.5715.517.726.66-5.5214.134.762.535.446.66
Price/Free Cash Flow ratio
40.1222.4054.26-109.3117.3112.80-3.1130.5915.493.6417.7017.31
Price/Earnings Growth ratio
-4.100.29-0.99-2.842.10-1.190.000.05-45.110.0051.562.10
Dividend Yield
3.29%3.22%3.11%4.38%6.74%5.24%3.23%N/AN/AN/AN/A5.24%
Profitability Indicator Ratios
Gross Profit Margin
63.51%64.03%63.04%64.85%65.67%65.78%67.04%66.97%66.85%66.73%63.17%65.78%
Operating Profit Margin
10.63%12.35%8.57%8.65%7.54%8.20%-75.25%-23.58%4.01%10.74%4.03%8.20%
Pretax Profit Margin
7.88%12.48%7.39%6.29%6.04%2.89%-169.47%-37.36%0.10%-0.68%0.10%2.89%
Net Profit Margin
6.17%9.82%5.39%4.55%4.77%1.73%-149.18%-37.87%0.00%12.03%0.00%1.73%
Effective Tax Rate
21.70%21.56%28.65%28.09%21.10%24.37%11.97%-1.36%91.37%1551.33%91.37%21.10%
Return on Assets
4.73%7.91%4.61%3.81%4.15%0.93%-26.73%-11.76%0.00%7.35%0.00%0.93%
Return On Equity
10.42%17.55%10.64%9.94%11.34%4.89%-2574.89%113.19%-0.05%-423.89%-0.04%4.89%
Return on Capital Employed
10.31%13.27%9.56%10.04%8.54%5.44%-16.34%-9.97%3.11%8.33%3.13%5.44%
Liquidity Ratios
Current Ratio
0.450.430.450.470.560.430.41N/AN/AN/A0.390.43
Quick Ratio
0.420.390.390.410.480.380.350.210.320.500.230.38
Cash ratio
0.100.080.080.070.050.040.030.040.060.070.060.05
Days of Sales Outstanding
29.9932.3228.7338.0938.5438.97103.3045.9431.3926.3924.1638.97
Days of Inventory outstanding
6.4614.5714.3019.3420.1419.8557.4941.9032.0413.9228.8420.14
Operating Cycle
36.4546.8943.0357.4358.6958.83160.8087.8563.4340.3234.8058.83
Days of Payables Outstanding
92.11108.9298.0488.9285.5192.52113.32177.56108.9584.0198.0885.51
Cash Conversion Cycle
-55.66-62.02-55.01-31.49-26.82-33.6947.47-89.71-45.51-43.69-66.79-33.69
Debt Ratios
Debt Ratio
0.200.190.230.300.310.200.310.340.380.351.090.31
Debt Equity Ratio
0.440.420.530.800.851.0529.92-3.36-3.89-20.66-11.151.05
Long-term Debt to Capitalization
0.300.290.340.390.460.510.961.421.341.051.130.46
Total Debt to Capitalization
0.300.290.340.440.460.510.961.421.341.051.120.46
Interest Coverage Ratio
6.017.587.595.934.561.76-2.74N/AN/AN/A0.411.76
Cash Flow to Debt Ratio
0.540.700.410.260.350.51-0.140.080.120.250.050.51
Company Equity Multiplier
2.192.212.302.602.735.2496.30-9.62-10.15-57.60-10.155.24
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.160.110.090.120.19-0.250.090.080.150.080.19
Free Cash Flow / Operating Cash Flow Ratio
0.390.580.36-0.140.440.521.770.460.300.690.300.52
Cash Flow Coverage Ratio
0.540.700.410.260.350.51-0.140.080.120.250.050.51
Short Term Coverage Ratio
N/A61.70N/A1.46N/AN/AN/AN/AN/A-85.811.11N/A
Dividend Payout Ratio
121.77%71.89%126.95%148.47%140.96%388.77%-3.04%N/AN/AN/AN/A388.77%