CPH Chemie + Papier Holding AG
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
7.536.06
Price/Sales ratio
0.680.57
Earnings per Share (EPS)
CHF8.1CHF10.06

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
32.24-5.68-30.3020.0911.709.829.28-2.414.636.4646.4011.70
Price/Sales ratio
0.680.440.540.670.920.900.970.730.640.810.750.90
Price/Book Value ratio
0.760.460.630.811.221.080.921.181.171.162.241.22
Price/Cash Flow ratio
17.088.0710.959.977.697.787.9223.114.794.645.427.78
Price/Free Cash Flow ratio
521.71135.38207.39-2.59K11.7812.4412.03-41.767.346.778.6012.44
Price/Earnings Growth ratio
-0.310.010.39-0.060.070.68-3.110.00-0.02-0.29-0.050.68
Dividend Yield
1.15%2.06%1.50%1.21%0.78%2.27%0.00%2.95%1.66%5.29%40.32%0.78%
Profitability Indicator Ratios
Gross Profit Margin
30.54%27.41%33.65%30.07%37.3%14.69%9.83%-0.58%17.26%36.00%22.26%22.26%
Operating Profit Margin
3.25%-5.19%1.34%0.61%9.60%9.86%4.42%-5.39%12.60%13.27%3.68%9.86%
Pretax Profit Margin
2.41%-7.64%-0.78%4.04%8.50%9.86%8.72%-30.04%13.80%14.74%3.17%9.86%
Net Profit Margin
2.13%-7.88%-1.80%3.37%7.87%9.21%10.53%-30.51%13.91%12.64%1.62%9.21%
Effective Tax Rate
11.71%-3.15%-124.30%15.41%7.51%6.42%-20.87%-1.47%-0.88%14.10%48.55%7.51%
Return on Assets
1.52%-5.30%-1.17%2.29%5.28%6.87%6.65%-27.04%15.15%13.18%2.80%6.87%
Return On Equity
2.37%-8.22%-2.09%4.06%10.43%10.99%9.96%-49.02%25.35%18.08%3.03%10.99%
Return on Capital Employed
2.70%-3.94%1.01%0.48%8.90%8.52%3.20%-6.05%21.13%17.33%9.17%8.90%
Liquidity Ratios
Current Ratio
2.452.622.402.291.592.783.02N/AN/AN/A1.741.59
Quick Ratio
1.781.851.651.731.281.962.151.711.151.691.031.96
Cash ratio
0.730.740.760.760.400.971.290.800.610.890.280.97
Days of Sales Outstanding
58.8657.6857.6160.0348.9350.3643.3650.9047.2641.5938.1550.36
Days of Inventory outstanding
67.5965.2386.6765.3375.4464.0571.2163.9468.7893.3059.3564.05
Operating Cycle
126.45122.91144.29125.36124.38114.41114.58114.84116.05134.8997.50114.41
Days of Payables Outstanding
57.3255.8766.7476.7175.5554.0251.6061.9456.5664.9332.4954.02
Cash Conversion Cycle
69.1367.0477.5448.6548.8360.3862.9752.9059.4869.9665.0048.83
Debt Ratios
Debt Ratio
0.210.210.220.210.300.170.160.190.140.000.080.17
Debt Equity Ratio
0.340.330.400.380.600.270.240.350.240.000.140.27
Long-term Debt to Capitalization
0.220.230.270.260.220.200.180.25N/AN/A0.030.20
Total Debt to Capitalization
0.250.240.280.280.370.210.190.260.190.000.120.21
Interest Coverage Ratio
3.46-5.511.370.6610.7112.0726.60N/AN/AN/A11.7410.71
Cash Flow to Debt Ratio
0.130.170.140.210.260.500.460.140.98151.952.850.26
Company Equity Multiplier
1.551.541.771.771.971.591.491.811.671.371.721.59
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.040.050.040.060.110.110.120.030.130.170.130.11
Free Cash Flow / Operating Cash Flow Ratio
0.030.050.05-0.000.650.620.65-0.550.650.680.620.62
Cash Flow Coverage Ratio
0.130.170.140.210.260.500.460.140.98151.952.850.26
Short Term Coverage Ratio
0.873.403.123.280.5111.037.025.270.98151.953.960.51
Dividend Payout Ratio
37.13%-11.76%-45.51%24.39%9.21%22.33%0.03%-7.12%7.72%34.22%248.85%9.21%