Canadian National Railway Company
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
17.3816.1713.9212.57
Price/Sales ratio
5.845.565.214.89
Earnings per Share (EPS)
CA$8.93CA$9.60CA$11.15CA$12.35

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.7117.5019.2614.2417.1520.0628.0722.4721.5719.4715.9120.06
Price/Sales ratio
5.404.915.825.985.185.677.207.606.456.504.955.67
Price/Book Value ratio
4.874.144.724.684.204.685.064.845.165.444.754.20
Price/Cash Flow ratio
14.9712.0413.4714.1612.5414.2816.1415.7916.5515.7212.3314.28
Price/Free Cash Flow ratio
31.4825.4427.9627.4731.1141.1030.1426.9828.1828.9924.5441.10
Price/Earnings Growth ratio
0.841.203.150.25-0.89-29.54-1.950.592.711.330.34-0.89
Dividend Yield
1.24%1.60%1.65%1.58%1.79%1.82%1.64%1.58%1.81%1.89%2.29%1.79%
Profitability Indicator Ratios
Gross Profit Margin
41.14%44.88%47.14%43.51%41.63%40.79%41.76%41.92%43.23%42.49%42.68%41.63%
Operating Profit Margin
38.10%41.75%44.13%40.20%38.35%37.49%34.56%38.79%39.98%39.20%37.84%37.49%
Pretax Profit Margin
35.93%38.64%40.93%39.02%39.67%36.39%32.88%43.80%39.53%38.55%36.06%36.39%
Net Profit Margin
26.10%28.05%30.24%42.05%30.22%28.26%25.65%33.83%29.91%33.42%31.20%30.22%
Effective Tax Rate
27.36%27.41%26.12%-7.76%23.82%22.34%21.61%22.75%24.32%13.30%13.46%22.34%
Return on Assets
9.96%9.71%9.82%14.57%10.50%9.62%7.91%10.09%10.10%10.68%10.67%10.50%
Return On Equity
23.51%23.66%24.52%32.92%24.53%23.36%18.03%21.53%23.93%27.96%27.10%24.53%
Return on Capital Employed
15.62%15.76%15.60%15.58%14.56%14.16%11.50%12.36%14.60%13.85%14.17%14.17%
Liquidity Ratios
Current Ratio
0.930.710.700.540.770.660.94N/AN/AN/A0.640.66
Quick Ratio
0.780.590.570.440.620.510.760.900.650.470.490.51
Cash ratio
0.020.050.050.010.070.010.170.260.080.090.050.01
Days of Sales Outstanding
27.9125.4126.5327.5429.7929.6827.8327.0729.2528.1924.3329.68
Days of Inventory outstanding
17.1218.6420.8221.0124.3225.2526.4425.5626.0026.3624.7724.32
Operating Cycle
45.0344.0547.3548.5554.1154.9354.2752.6455.2654.5649.1154.93
Days of Payables Outstanding
23.7120.5327.7636.5642.8735.7835.3739.2035.8536.5189.9942.87
Cash Conversion Cycle
21.3223.5219.5911.9811.2319.1418.9013.4419.4018.05-40.8819.14
Debt Ratios
Debt Ratio
0.260.280.290.280.300.310.280.250.300.350.370.30
Debt Equity Ratio
0.620.690.730.650.710.760.650.540.720.911.060.71
Long-term Debt to Capitalization
0.360.370.380.340.390.390.370.340.400.440.480.39
Total Debt to Capitalization
0.380.410.420.390.410.430.390.350.410.470.510.41
Interest Coverage Ratio
13.4512.8911.8212.4512.1911.31-5.90N/AN/AN/A8.2111.31
Cash Flow to Debt Ratio
0.520.490.470.500.470.420.470.550.430.370.360.42
Company Equity Multiplier
2.362.432.492.252.332.422.272.132.362.612.792.33
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.360.400.430.420.410.390.440.480.380.410.400.39
Free Cash Flow / Operating Cash Flow Ratio
0.470.470.480.510.400.340.530.580.580.540.500.40
Cash Flow Coverage Ratio
0.520.490.470.500.470.420.470.550.430.370.360.42
Short Term Coverage Ratio
8.053.563.492.654.993.066.7713.726.302.973.613.06
Dividend Payout Ratio
25.82%28.15%31.84%22.59%30.79%36.62%46.09%35.51%39.15%36.81%36.37%30.79%