Companhia Energética de Minas Gerais
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
1.211.30N/AN/A
Price/Sales ratio
0.100.090.100.09
Earnings per Share (EPS)
$1.54$1.44N/AN/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
4.0611.43K21.437.6310.135.126.104.704.434.280.005.12
Price/Sales ratio
0.650.270.380.350.770.630.690.520.520.670.000.63
Price/Book Value ratio
1.130.440.550.531.181.061.000.900.831.081.131.13
Price/Cash Flow ratio
3.411.915.9013.1717.097.862.034.792.743.713.387.86
Price/Free Cash Flow ratio
4.532.98-24.29-27.68131.54146.972.075.112.874.599.40146.97
Price/Earnings Growth ratio
6.67-538.89-0.220.020.050.05-0.940.150.470.53-0.000.05
Dividend Yield
30.68%13.84%9.41%7.06%2.95%4.37%3.42%8.02%11.53%7.37%11.50%2.95%
Profitability Indicator Ratios
Gross Profit Margin
34.48%13.96%15.28%15.09%14.59%22.81%21.33%19.98%19.76%18.51%23.30%14.59%
Operating Profit Margin
28.55%19.34%9.60%12.16%11.20%19.12%19.56%17.70%16.49%15.96%0.05%19.12%
Pretax Profit Margin
22.92%15.89%1.95%7.58%8.88%17.60%15.06%13.96%11.95%18.59%44.76%8.88%
Net Profit Margin
16.05%0.00%1.78%4.61%7.63%12.31%11.35%11.14%11.87%15.64%32.27%7.63%
Effective Tax Rate
29.96%26.37%9.01%39.14%30.29%35.01%24.62%20.13%0.63%15.82%27.90%35.01%
Return on Assets
8.96%0.00%0.79%2.37%2.84%6.26%5.29%7.20%7.62%10.48%5213.58%2.84%
Return On Equity
27.80%0.00%2.58%6.99%11.66%20.77%16.39%19.27%18.78%25.28%12538.23%11.66%
Return on Capital Employed
22.43%14.82%5.89%7.86%6.84%11.79%11.12%14.40%13.38%14.04%10.92%6.84%
Liquidity Ratios
Current Ratio
0.240.242.393.260.931.281.59N/AN/AN/A1.040.93
Quick Ratio
0.640.710.710.981.181.151.591.211.200.901.041.15
Cash ratio
0.080.070.080.110.030.060.170.070.120.110.230.03
Days of Sales Outstanding
44.6364.5366.5965.3169.2273.3173.9354.5658.2273.090.2573.31
Days of Inventory outstanding
1.140.731.120.750.690.72N/AN/AN/AN/AN/A0.72
Operating Cycle
45.7765.2667.7166.0769.9174.0373.9354.5658.2273.090.2574.03
Days of Payables Outstanding
45.7337.8744.5246.3934.5638.7343.3639.5743.3845.240.2038.73
Cash Conversion Cycle
0.0427.3923.1919.6735.3435.3030.5614.9814.8327.850.0535.30
Debt Ratios
Debt Ratio
0.380.370.360.340.240.290.270.210.190.170.220.29
Debt Equity Ratio
1.191.161.171.001.010.980.850.580.480.430.500.98
Long-term Debt to Capitalization
0.420.400.440.450.460.440.420.330.300.240.240.44
Total Debt to Capitalization
0.540.530.540.500.500.490.460.360.320.300.330.49
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/A3.18N/AN/AN/A4.44N/A
Cash Flow to Debt Ratio
0.270.190.070.040.060.130.570.320.620.670.660.06
Company Equity Multiplier
3.103.143.252.944.103.313.092.672.462.412.243.31
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.190.140.060.020.040.080.340.100.190.180.000.08
Free Cash Flow / Operating Cash Flow Ratio
0.750.63-0.24-0.470.120.050.970.930.950.810.390.12
Cash Flow Coverage Ratio
0.270.190.070.040.060.130.570.320.620.670.660.06
Short Term Coverage Ratio
0.700.470.250.240.450.744.182.516.922.521.960.45
Dividend Payout Ratio
124.89%158250.49%201.89%53.91%29.93%22.42%20.88%37.75%51.17%31.62%0.16%22.42%