Cementos Pacasmayo S.A.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
10.3910.067.776.90
Price/Sales ratio
0.250.240.220.21
Earnings per Share (EPS)
$0.59$0.61$0.80$0.90

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
12.5111.0623.0836.7535.6819.8139.9213.859.5048.819.2919.81
Price/Sales ratio
1.941.932.162.812.161.871.781.090.794.220.861.87
Price/Book Value ratio
1.211.221.432.281.881.841.691.771.406.921.281.84
Price/Cash Flow ratio
9.568.6411.0913.2813.4412.756.9712.4415.0219.995.2212.75
Price/Free Cash Flow ratio
-7.19-11.4725.6419.2929.6321.428.2927.91-25.1967.026.8621.42
Price/Earnings Growth ratio
0.520.85-0.53-2.05-1.960.27-0.710.080.60-0.600.05-1.96
Dividend Yield
4.80%6.80%5.75%3.62%6.27%4.61%6.21%15.87%10.70%2.12%9.36%6.27%
Profitability Indicator Ratios
Gross Profit Margin
41.72%43.48%40.61%40.19%36.92%34.96%28.94%28.86%30.81%35.35%37.33%36.92%
Operating Profit Margin
24.18%25.90%21.99%16.20%19.15%19.42%13.58%16.42%16.79%17.30%21.31%19.15%
Pretax Profit Margin
21.42%24.20%15.97%10.47%9.20%13.95%6.62%11.56%12.40%12.59%13.98%9.20%
Net Profit Margin
15.51%17.50%9.36%7.65%6.07%9.48%4.46%7.90%8.35%8.66%9.40%6.07%
Effective Tax Rate
29.09%28.94%39.68%36.62%35.29%32.05%32.60%31.65%32.61%31.25%32.72%32.72%
Return on Assets
5.94%6.31%3.49%3.33%2.67%4.50%1.91%4.78%5.33%5.24%5.61%2.67%
Return On Equity
9.67%11.09%6.22%6.22%5.28%9.28%4.23%12.80%14.79%14.19%14.64%5.28%
Return on Capital Employed
9.88%9.93%8.68%7.61%9.28%10.48%6.40%12.83%15.04%13.32%16.26%9.28%
Liquidity Ratios
Current Ratio
5.173.084.982.692.382.123.31N/AN/AN/A1.562.12
Quick Ratio
3.551.573.060.870.730.651.570.550.310.290.460.65
Cash ratio
2.900.770.440.240.180.191.160.370.080.130.190.18
Days of Sales Outstanding
17.4332.2323.7729.6128.7431.5823.6619.1017.4618.4124.1231.58
Days of Inventory outstanding
163.34161.30171.73185.75194.73209.13182.53160.25220.68229.04233.53194.73
Operating Cycle
180.77193.53195.50215.37223.47240.72206.20179.36238.14247.45257.65223.47
Days of Payables Outstanding
35.6945.1531.7638.0831.2034.2033.2729.5239.1631.0774.7431.20
Cash Conversion Cycle
145.07148.38163.73177.28192.26206.51172.92149.83198.98216.38182.91206.51
Debt Ratios
Debt Ratio
0.270.290.300.340.370.370.420.48N/A0.480.450.37
Debt Equity Ratio
0.440.520.530.640.740.770.921.29N/A1.321.110.74
Long-term Debt to Capitalization
0.300.340.340.390.410.410.460.47N/A0.490.440.41
Total Debt to Capitalization
0.300.340.340.390.420.430.480.56N/A0.560.520.42
Interest Coverage Ratio
11.1136.756.185.715.104.522.55N/AN/AN/A4.054.52
Cash Flow to Debt Ratio
0.280.270.240.260.180.180.260.11N/A0.260.220.18
Company Equity Multiplier
1.621.751.771.861.972.062.202.672.772.702.451.97
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.200.220.190.210.160.140.250.080.050.210.160.16
Free Cash Flow / Operating Cash Flow Ratio
-1.32-0.750.430.680.450.590.840.44-0.590.290.750.45
Cash Flow Coverage Ratio
0.280.270.240.260.180.180.260.11N/A0.260.220.18
Short Term Coverage Ratio
N/AN/AN/AN/A3.342.075.070.37N/A1.070.782.07
Dividend Payout Ratio
60.06%75.24%132.90%133.28%223.97%91.36%248.07%219.90%101.69%103.86%94.66%91.36%