Clariant AG
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
19.5416.7415.3815.31
Price/Sales ratio
1.401.341.271.21
Earnings per Share (EPS)
CHF0.98CHF1.15CHF1.25CHF1.26

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
35.1626.7422.4832.2917.26-209.3853.4618.19-47.7430.4940.5217.26
Price/Sales ratio
0.871.050.971.400.871.611.601.430.920.930.791.61
Price/Book Value ratio
2.042.532.313.242.072.842.762.652.052.021.522.84
Price/Cash Flow ratio
16.0012.208.8020.9010.9713.9816.8017.239.609.707.1113.98
Price/Free Cash Flow ratio
485.9260.6418.3460.0421.3132.3688.592.08K16.6219.0912.6232.36
Price/Earnings Growth ratio
-0.040.552.284.190.801.90-0.110.090.36-0.130.401.90
Dividend Yield
2.15%2.10%2.26%1.65%2.83%2.54%15.94%3.67%2.73%3.37%4.15%2.83%
Profitability Indicator Ratios
Gross Profit Margin
28.97%30.77%30.27%29.82%29.18%31.25%30.38%29.62%19.71%27.41%29.28%29.18%
Operating Profit Margin
8.58%8.54%8.75%7.77%8.24%3.75%7.72%10.06%1.38%6.44%9.62%8.24%
Pretax Profit Margin
6.19%5.16%5.78%6.85%7.02%1.61%5.49%9.01%0.11%4.98%5.59%1.61%
Net Profit Margin
2.48%3.94%4.32%4.34%5.08%-0.77%3.00%7.86%-1.94%3.06%1.96%-0.77%
Effective Tax Rate
37.99%24.33%22.18%30.89%23.44%147.88%45.28%25.88%1783.33%2.29%40.34%23.44%
Return on Assets
1.92%3.06%3.02%3.36%4.22%-0.42%1.67%4.88%-1.63%2.50%1.28%-0.42%
Return On Equity
5.82%9.47%10.28%10.03%12.04%-1.35%5.17%14.58%-4.31%6.64%3.90%-1.35%
Return on Capital Employed
9.21%9.16%9.20%8.51%9.57%3.12%6.11%9.63%1.66%7.50%8.23%3.12%
Liquidity Ratios
Current Ratio
1.511.491.261.371.461.491.59N/AN/AN/A1.551.46
Quick Ratio
1.091.090.970.981.011.241.330.951.001.001.051.01
Cash ratio
0.330.380.370.290.360.230.350.160.210.300.240.24
Days of Sales Outstanding
58.7878.9480.5283.9073.2987.8685.0087.4971.9047.2855.0687.86
Days of Inventory outstanding
78.1473.6373.0577.6479.2278.5772.5381.9669.6271.6992.6179.22
Operating Cycle
136.92152.58153.58161.55152.52166.44157.54169.46141.52118.97147.67166.44
Days of Payables Outstanding
59.1560.8361.1459.4658.36105.6173.2181.6153.3556.0699.3058.36
Cash Conversion Cycle
77.7791.7492.43102.0994.1560.8384.3287.8488.1762.9048.3660.83
Debt Ratios
Debt Ratio
0.270.300.340.270.270.250.260.230.190.200.280.27
Debt Equity Ratio
0.830.931.160.830.790.820.810.700.520.540.840.79
Long-term Debt to Capitalization
0.400.430.430.380.370.370.380.280.270.270.420.37
Total Debt to Capitalization
0.450.480.530.450.440.450.440.410.340.350.450.44
Interest Coverage Ratio
3.954.993.904.224.721.373.55N/AN/AN/A4.711.37
Cash Flow to Debt Ratio
0.150.220.220.180.230.240.200.210.400.380.250.23
Company Equity Multiplier
3.033.083.392.982.853.183.092.982.642.642.912.85
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.050.080.110.060.080.110.090.080.090.090.110.08
Free Cash Flow / Operating Cash Flow Ratio
0.030.200.470.340.510.430.180.000.570.500.560.51
Cash Flow Coverage Ratio
0.150.220.220.180.230.240.200.210.400.380.250.23
Short Term Coverage Ratio
0.771.270.670.751.000.860.920.511.411.262.031.00
Dividend Payout Ratio
75.65%56.33%50.98%53.42%48.96%-532.35%852.58%66.86%-130.69%102.98%168.29%48.96%