Cantel Medical Corp.
Financial ratios & Valuation

Historical Multiples (2011 – 2020)

2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 TTM Median
Valuation Ratios
Price/Earnings ratio
20.8222.5427.8256.6992.4027.9443.3742.4770.03147.65N/A27.94
Price/Sales ratio
1.321.822.565.017.842.524.024.434.191.99N/A2.52
Price/Book Value ratio
1.812.563.396.7110.893.685.906.355.822.77N/A3.68
Price/Cash Flow ratio
15.0813.9621.2038.1675.0120.8728.6130.7057.5914.78N/A20.87
Price/Free Cash Flow ratio
19.0115.6724.3948.3495.6727.2938.1643.83-135.2119.63N/A27.29
Price/Earnings Growth ratio
1.60K0.481.194.8910.881.102.311.54-1.77-1.94N/A1.10
Dividend Yield
0.48%0.35%0.27%0.15%0.09%0.29%0.18%0.18%0.21%0.22%N/A0.29%
Profitability Indicator Ratios
Gross Profit Margin
38.17%42.47%43.16%43.64%44.86%46.51%47.67%47.47%46.55%42.90%47.35%44.86%
Operating Profit Margin
9.74%13.48%14.88%14.52%13.91%14.64%14.35%14.08%9.23%4.75%11.53%14.64%
Pretax Profit Margin
9.47%12.38%14.20%14.03%13.48%14.13%13.79%13.47%8.20%0.68%6.10%14.13%
Net Profit Margin
6.35%8.10%9.23%8.85%8.48%9.01%9.26%10.44%5.99%1.34%4.57%9.01%
Effective Tax Rate
32.94%34.53%34.98%36.94%37.06%36.17%32.81%22.52%26.92%-97.18%25.02%36.17%
Return on Assets
6.35%7.20%8.04%8.06%8.21%8.63%9.07%9.44%5.14%0.66%2.56%8.63%
Return On Equity
8.71%11.35%12.21%11.84%11.79%13.19%13.62%14.95%8.32%1.87%6.73%13.19%
Return on Capital Employed
11.27%13.72%14.75%15.11%15.31%16.27%16.26%14.81%9.23%2.55%7.34%16.27%
Liquidity Ratios
Current Ratio
2.562.422.542.462.662.312.412.502.323.602.572.57
Quick Ratio
1.481.451.481.561.641.361.481.711.412.661.741.64
Cash ratio
0.420.540.570.470.440.290.340.690.291.540.890.44
Days of Sales Outstanding
52.3347.0646.2546.4645.0951.2452.4449.6658.8765.5065.5645.09
Days of Inventory outstanding
73.5376.7681.8579.1584.4493.9189.4185.75102.82105.68109.0584.44
Operating Cycle
125.86123.82128.10125.62129.54145.15141.85135.41161.70171.19125.22145.15
Days of Payables Outstanding
24.2620.2620.1325.8718.9626.9524.8727.3029.3426.4335.9018.96
Cash Conversion Cycle
101.60103.55107.9799.74110.58118.19116.97108.11132.35144.7556.55118.19
Debt Ratios
Debt Ratio
0.270.360.340.150.130.160.160.200.210.510.590.13
Debt Equity Ratio
0.370.570.510.220.190.250.240.320.341.451.480.19
Long-term Debt to Capitalization
0.090.220.200.180.160.200.190.230.250.590.510.16
Total Debt to Capitalization
N/A0.240.220.180.160.200.190.240.250.590.520.16
Interest Coverage Ratio
32.6413.9621.8229.8033.2028.5325.6523.008.781.162.1228.53
Cash Flow to Debt Ratio
1.170.560.540.790.750.690.850.630.280.120.210.69
Company Equity Multiplier
1.371.571.511.461.431.521.501.581.612.832.481.43
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.080.130.120.130.100.120.140.140.070.130.160.10
Free Cash Flow / Operating Cash Flow Ratio
0.790.890.860.780.780.760.740.70-0.420.750.810.78
Cash Flow Coverage Ratio
N/A0.560.540.790.750.690.850.630.280.120.210.69
Short Term Coverage Ratio
N/A5.055.14N/AN/AN/AN/A12.596.6918.556.40N/A
Dividend Payout Ratio
10.10%8.05%7.68%8.60%8.66%8.34%8.18%7.78%15.17%32.61%N/A8.34%