Cresud SACIF y A
Financial ratios & Valuation

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
N/A0.00-0.000.25-0.050.36-0.030.040.190.3018.12-0.05
Price/Sales ratio
N/A0.000.000.010.040.040.010.010.040.030.820.04
Price/Book Value ratio
N/A0.000.000.040.080.090.030.020.030.030.750.08
Price/Cash Flow ratio
N/A0.000.000.060.050.040.050.070.230.35-6.650.04
Price/Free Cash Flow ratio
N/A0.000.000.090.060.040.060.090.48-2.03-2.670.04
Price/Earnings Growth ratio
N/AN/A0.00-0.000.00-0.000.00-0.000.000.010.000.00
Dividend Yield
N/A7591.61%129986.43%89.18%24.10%34.27%49.78%455.78%829.87%508.90%0.00%34.27%
Profitability Indicator Ratios
Gross Profit Margin
41.57%43.85%37.11%35.80%50.45%42.55%52.94%44.30%37.43%40.98%42.93%42.55%
Operating Profit Margin
101.66%125.45%6.10%34.15%-87.75%131.25%23.40%45.10%-10.70%-19.15%44.92%-87.75%
Pretax Profit Margin
64.38%90.16%-4.97%-20.35%-136.10%92.02%27.57%67.78%2.86%4.51%-64.99%-136.10%
Net Profit Margin
16.87%33.07%-0.91%6.54%-84.68%11.76%-29.63%38.69%23.04%11.02%5.02%-84.68%
Effective Tax Rate
38.36%41.06%-54.23%52.48%-1.26%25.88%238.89%3.04%-1332.37%-192.69%59.96%-1.26%
Return on Assets
3.00%2.58%-0.25%1.09%-5.54%0.93%-7.98%7.00%4.10%2.25%0.80%-5.54%
Return On Equity
11.88%37.82%-3.80%16.39%-167.40%25.60%-83.51%45.06%20.92%11.26%6.07%-167.40%
Return on Capital Employed
21.07%12.72%2.17%6.79%-6.97%13.98%7.96%11.32%-2.33%-4.83%9.13%-6.97%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A1.08N/A
Quick Ratio
0.800.891.221.731.621.260.740.610.860.800.771.26
Cash ratio
0.140.300.490.670.690.580.390.230.190.170.160.58
Days of Sales Outstanding
72.52288.99100.38107.22299.58293.4591.36127.08562.39135.43185.83293.45
Days of Inventory outstanding
76.38185.2647.8231.04158.07137.42148.62154.73143.72152.12240.28158.07
Operating Cycle
148.90474.26148.20138.27457.66430.87239.99281.82706.11287.56426.11430.87
Days of Payables Outstanding
34.93465.24187.78170.86500.66415.68166.16211.41864.31216.04286.18415.68
Cash Conversion Cycle
113.979.01-39.57-32.58-42.9915.1973.8270.40-158.2071.51139.93-42.99
Debt Ratios
Debt Ratio
0.260.580.560.610.650.600.340.260.910.230.260.60
Debt Equity Ratio
1.038.588.249.1619.8716.643.651.714.641.181.3616.64
Long-term Debt to Capitalization
0.420.870.870.880.940.920.690.350.730.400.430.92
Total Debt to Capitalization
0.500.890.890.900.950.940.780.630.820.540.570.94
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A5.10N/A
Cash Flow to Debt Ratio
0.060.030.120.070.080.130.160.150.030.08-0.080.13
Company Equity Multiplier
3.9514.6114.7114.9730.1927.3010.456.435.104.985.1427.30
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.270.240.250.801.070.200.220.180.09-0.131.07
Free Cash Flow / Operating Cash Flow Ratio
0.510.830.630.650.920.950.760.810.48-0.172.250.92
Cash Flow Coverage Ratio
0.060.030.120.070.080.130.160.150.030.08-0.080.13
Short Term Coverage Ratio
0.200.170.710.480.470.590.420.220.090.19-0.190.59
Dividend Payout Ratio
3.56%4.62%-727.88%22.77%-1.29%12.63%-1.82%20.97%158.16%157.51%732.81%-1.29%