Canadian Pacific Railway Limited
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
14.9913.4910.909.90
Price/Sales ratio
3.092.872.682.54
Earnings per Share (EPS)
$4.92$5.47$6.77$7.45

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
26.1920.8417.9413.9817.7518.8124.5121.6726.7024.8627.5517.75
Price/Sales ratio
5.844.194.605.134.735.897.777.7310.657.776.754.73
Price/Book Value ratio
6.895.876.205.225.216.498.181.822.412.352.206.49
Price/Cash Flow ratio
18.2111.4513.7315.4112.7715.3521.3816.7522.6723.5919.9012.77
Price/Free Cash Flow ratio
57.3730.0731.6339.9429.8234.1852.9828.6636.3359.6046.8129.82
Price/Earnings Growth ratio
0.36-17.810.670.25-1.020.659.581.32-2.672.181.42-1.02
Dividend Yield
0.63%0.80%0.88%0.92%1.00%0.89%0.77%0.82%0.75%0.72%0.77%0.89%
Profitability Indicator Ratios
Gross Profit Margin
50.15%54.82%55.88%54.54%53.34%55.40%56.56%55.33%52.08%52.46%41.59%55.40%
Operating Profit Margin
35.33%40.04%41.36%38.43%38.69%40.09%42.94%40.10%54.42%34.95%35.62%40.09%
Pretax Profit Margin
30.78%29.18%34.53%38.11%35.37%40.37%41.53%45.27%47.02%-24.31%31.97%40.37%
Net Profit Margin
22.29%20.14%25.65%36.69%26.66%31.31%31.69%35.67%39.90%31.27%24.50%31.31%
Effective Tax Rate
27.57%30.98%25.69%3.72%24.61%22.44%23.67%21.21%15.15%228.49%23.54%23.54%
Return on Assets
8.87%6.88%8.31%11.94%9.17%10.90%10.33%4.18%4.78%4.91%4.30%10.90%
Return On Equity
26.31%28.19%34.56%37.36%29.40%34.51%33.39%8.43%9.04%9.46%8.21%34.51%
Return on Capital Employed
15.35%14.77%14.42%13.87%14.66%15.56%15.77%4.93%6.82%5.91%6.73%15.56%
Liquidity Ratios
Current Ratio
0.901.060.740.640.570.520.49N/AN/AN/A0.520.52
Quick Ratio
0.770.930.610.560.480.440.410.350.490.450.450.45
Cash ratio
0.160.440.120.170.030.050.050.020.140.080.070.03
Days of Sales Outstanding
38.7035.0734.6138.2540.6637.7039.0537.3942.0743.4949.0340.66
Days of Inventory outstanding
19.5722.6324.4318.6218.5019.1122.6624.0124.5424.4617.6019.11
Operating Cycle
58.2857.7059.0456.8859.1656.8261.7261.4166.6267.9566.6459.16
Days of Payables Outstanding
45.0140.8046.7349.2550.6947.5843.7044.1543.4741.58112.2050.69
Cash Conversion Cycle
13.2616.8912.307.628.479.2418.0217.2523.1426.36-45.569.24
Debt Ratios
Debt Ratio
0.340.450.450.400.400.390.410.290.260.280.260.39
Debt Equity Ratio
1.031.861.871.261.311.231.330.590.500.540.491.23
Long-term Debt to Capitalization
0.500.650.650.530.550.530.530.350.310.310.290.53
Total Debt to Capitalization
0.500.650.650.550.560.550.570.370.330.350.330.55
Interest Coverage Ratio
8.176.635.3866.297.167.39N/AN/AN/A6.406.29
Cash Flow to Debt Ratio
0.360.270.240.260.310.340.280.180.210.180.220.34
Company Equity Multiplier
2.964.094.153.123.203.163.222.011.891.921.863.16
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.320.360.330.330.370.380.360.460.460.320.330.38
Free Cash Flow / Operating Cash Flow Ratio
0.310.380.430.380.420.440.400.580.620.390.420.44
Cash Flow Coverage Ratio
0.360.270.240.260.310.340.280.180.210.180.220.34
Short Term Coverage Ratio
15.8481.9683.562.925.354.992.362.372.741.311.524.99
Dividend Payout Ratio
16.53%16.71%15.94%12.88%17.83%16.88%19.10%17.77%20.10%18.00%20.02%17.83%