Cleveland-Cliffs
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
8.066.46
Price/Sales ratio
0.240.24
Earnings per Share (EPS)
$1.29$1.60

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-0.15-0.329.545.542.027.93-67.293.626.2626.107.292.02
Price/Sales ratio
0.230.120.780.890.971.161.030.530.360.470.421.16
Price/Book Value ratio
-0.78-0.12-1.13-4.765.386.492.721.871.031.321.256.49
Price/Cash Flow ratio
3.049.135.486.154.774.13-21.143.893.454.59157.074.77
Price/Free Cash Flow ratio
14.61-4.257.1011.4112.52-24.86-7.025.215.646.42157.0712.52
Price/Earnings Growth ratio
0.000.00-0.080.110.01-0.110.55-0.00-0.10-0.37-0.12-0.11
Dividend Yield
13.14%37.91%3.60%2.54%1.93%5.00%0.74%N/AN/AN/AN/A5.00%
Profitability Indicator Ratios
Gross Profit Margin
9.76%11.74%18.45%21.86%34.71%28.93%4.70%22.17%10.95%6.32%10.95%28.93%
Operating Profit Margin
-203.86%7.51%11.41%18.51%28.86%21.57%0.09%19.62%8.43%3.07%8.43%21.57%
Pretax Profit Margin
-207.28%15.55%9.81%5.89%24.21%15.68%-3.60%18.60%7.81%2.71%7.81%15.68%
Net Profit Margin
-155.48%-37.21%8.25%16.08%48.36%14.71%-1.53%14.61%5.80%1.81%5.80%14.71%
Effective Tax Rate
13.75%54.07%-5.89%-183.83%-84.15%5.63%57.51%20.32%23.55%24.79%23.55%-84.15%
Return on Assets
-224.71%-35.10%9.04%12.69%31.96%8.35%-0.48%15.74%7.11%2.27%7.11%8.35%
Return On Equity
514.93%37.81%-11.88%-85.92%265.93%81.81%-4.04%51.74%16.60%5.05%19.16%81.81%
Return on Capital Employed
-422.04%9.72%15.70%17.25%21.98%13.87%0.03%26.02%12.75%4.82%12.75%13.87%
Liquidity Ratios
Current Ratio
1.511.682.103.413.162.191.80N/AN/AN/A2.092.19
Quick Ratio
0.960.931.412.802.771.410.500.690.640.620.551.41
Cash ratio
0.300.490.822.221.750.860.030.010.000.050.000.86
Days of Sales Outstanding
9.6820.8830.6816.7153.8327.9981.3338.4531.1130.5331.1127.99
Days of Inventory outstanding
45.6590.3857.2655.5943.4081.91273.85119.0291.4679.0091.4643.40
Operating Cycle
55.34111.2787.9472.3097.24109.91355.18157.47122.58109.5399.1497.24
Days of Payables Outstanding
23.8021.8322.8319.9444.7740.00112.6747.5538.9737.1838.9740.00
Cash Conversion Cycle
31.5389.4365.1152.3552.4669.90242.51109.9183.6172.3514.6969.90
Debt Ratios
Debt Ratio
0.931.261.130.780.590.600.320.270.220.170.570.60
Debt Equity Ratio
-2.13-1.36-1.48-5.284.935.902.670.900.530.391.375.90
Long-term Debt to Capitalization
1.893.753.061.230.830.850.720.470.340.280.350.85
Total Debt to Capitalization
1.873.753.061.230.830.850.720.470.340.28N/A0.85
Interest Coverage Ratio
0.890.551.303.115.674.24-0.21N/AN/AN/A7.025.67
Cash Flow to Debt Ratio
0.120.000.130.140.220.26-0.040.530.560.72N/A0.26
Company Equity Multiplier
-2.29-1.07-1.31-6.768.329.788.273.282.332.222.409.78
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.070.010.140.140.200.28-0.040.130.100.100.000.28
Free Cash Flow / Operating Cash Flow Ratio
0.20-2.140.770.530.38-0.163.010.740.610.7110.38
Cash Flow Coverage Ratio
0.120.000.130.140.220.26-0.040.530.560.72N/A0.26
Short Term Coverage Ratio
16.46N/AN/AN/AN/AN/A-7.67N/A127.52N/AN/AN/A
Dividend Payout Ratio
-1.99%-12.25%34.40%14.11%3.91%39.71%-50%N/AN/AN/AN/A39.71%