CONMED
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
11.659.537.28
Price/Sales ratio
1.091.020.94
Earnings per Share (EPS)
$4.67$5.71$7.48

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
38.2639.9483.7425.6644.18110.67336.3566.09-33.0452.1016.54110.67
Price/Sales ratio
1.671.691.601.782.093.313.714.092.542.691.693.31
Price/Book Value ratio
2.112.082.112.252.724.454.515.263.574.022.334.45
Price/Cash Flow ratio
18.9025.3432.1321.7124.1633.2949.6036.9879.8026.7912.1033.29
Price/Free Cash Flow ratio
24.7536.8452.3227.0031.0142.1962.1342.66229.9431.5813.1342.19
Price/Earnings Growth ratio
-3.82-6.67-1.610.09-1.62-3.64-4.990.120.14-0.29-1.70-3.64
Dividend Yield
1.78%1.81%1.80%1.56%1.24%0.71%0.71%0.56%0.89%0.72%1.13%1.13%
Profitability Indicator Ratios
Gross Profit Margin
54.25%53.07%53.47%54.12%54.57%54.93%53.37%56.20%54.63%54.32%54.30%54.93%
Operating Profit Margin
7.18%7.11%4.93%5.89%8.29%0.16%-3.12%3.74%6.70%10.50%14.63%8.29%
Pretax Profit Margin
6.35%6.27%2.53%3.60%5.89%3.26%0.18%7.23%-6.77%6.49%12.44%5.89%
Net Profit Margin
4.38%4.24%1.92%6.96%4.75%2.99%1.10%6.18%-7.70%5.17%10.24%4.75%
Effective Tax Rate
31.02%32.44%24.31%-93.11%19.34%8.34%-493.69%14.44%-13.71%20.25%17.69%17.69%
Return on Assets
2.93%2.74%1.10%4.08%2.98%1.61%0.54%3.54%-3.50%2.80%5.68%2.98%
Return On Equity
5.53%5.21%2.52%8.78%6.16%4.02%1.34%7.96%-10.80%7.72%15.04%6.16%
Return on Capital Employed
5.37%5.15%3.10%3.88%5.90%0.10%-1.72%2.41%3.50%6.57%9.25%5.90%
Liquidity Ratios
Current Ratio
3.283.402.902.372.322.112.19N/AN/AN/A2.272.11
Quick Ratio
2.001.981.701.431.361.231.161.160.830.951.051.23
Cash ratio
0.570.600.240.210.100.130.140.100.090.070.130.10
Days of Sales Outstanding
64.5467.9370.8676.5577.0872.2674.9766.4166.8071.0465.6272.26
Days of Inventory outstanding
160.93180.51139.62141.30144.49139.60176.86191.03255.77204.37212.75144.49
Operating Cycle
225.47248.45210.48217.85221.58211.87251.83257.44322.58275.42278.37221.58
Days of Payables Outstanding
25.8037.5542.7942.0050.0047.4648.3847.9956.4856.6464.9450.00
Cash Conversion Cycle
199.67210.89167.69175.85171.57164.40203.45209.44266.09218.77213.43171.57
Debt Ratios
Debt Ratio
0.210.240.370.350.330.430.420.380.450.420.400.33
Debt Equity Ratio
0.410.460.850.770.681.081.060.871.411.161.000.68
Long-term Debt to Capitalization
0.290.310.450.420.390.510.500.460.560.530.500.39
Total Debt to Capitalization
0.290.310.460.430.400.510.510.460.580.530.500.40
Interest Coverage Ratio
11.368.482.452.573.451.851.04N/AN/AN/A4.953.45
Cash Flow to Debt Ratio
0.260.170.070.130.160.120.080.160.030.120.190.16
Company Equity Multiplier
1.881.902.282.152.062.492.472.243.082.752.482.06
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.080.060.050.080.080.090.070.110.030.100.130.08
Free Cash Flow / Operating Cash Flow Ratio
0.760.680.610.800.770.780.790.860.340.840.920.77
Cash Flow Coverage Ratio
0.260.170.070.130.160.120.080.160.030.120.190.16
Short Term Coverage Ratio
52.8135.893.744.464.077.173.549.120.47N/A251.084.07
Dividend Payout Ratio
68.21%72.48%151.47%40.20%54.93%78.96%239.76%37.18%-29.73%38.01%18.69%78.96%