CareRx
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
34.6221.63
Price/Sales ratio
0.640.60
Earnings per Share (EPS)
CA$0.16CA$0.26

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-0.960.89-4.9354.86-1.96-0.76-4.27-8.72-3.54-17.08-3.13-0.76
Price/Sales ratio
0.170.250.570.590.490.280.470.750.310.240.280.28
Price/Book Value ratio
-1.562.9037.565.14-7.78-1.756.882.411.891.131.67-7.78
Price/Cash Flow ratio
2.791.4057.076.309.265.52339.8327.285.453.374.825.52
Price/Free Cash Flow ratio
4.601.74-78.0512.0228.5112.29-45.081.29K13.974.9412.3512.29
Price/Earnings Growth ratio
0.02-0.000.03-0.500.00-0.020.050.31-0.320.190.060.00
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
39.89%35.68%37.57%36.27%28.36%31.60%29.01%28.66%28.79%22.85%28.79%28.36%
Operating Profit Margin
-1.69%-7.02%-2.01%0.58%-8.85%-2.23%-1.81%1.79%2.07%1.25%-5.74%-8.85%
Pretax Profit Margin
-12.74%-26.49%-16.22%-1.18%-30.47%-31.75%-11.28%-9.03%-9.40%-2.58%-9.40%-30.47%
Net Profit Margin
-18.64%28.37%-11.75%1.09%-25.12%-36.65%-11.21%-8.65%-8.99%-1.45%-8.99%-25.12%
Effective Tax Rate
4.22%15.66%32.68%74.03%8.81%-15.40%0.64%4.23%4.29%43.66%4.29%4.29%
Return on Assets
-18.33%12.20%-12.68%1.27%-25.36%-52.45%-11.64%-8.03%-12.98%-2.33%-12.98%-25.36%
Return On Equity
163.26%322.66%-761.78%9.38%396.54%228.83%-160.86%-27.62%-53.29%-6.62%-51.86%228.83%
Return on Capital Employed
-2.05%-4.02%-3.61%2.59%-80.74%-14.61%-2.60%2.05%3.94%2.75%-10.93%-80.74%
Liquidity Ratios
Current Ratio
1.512.890.590.230.390.281.04N/AN/AN/A1.390.39
Quick Ratio
1.432.820.470.160.350.200.841.451.070.731.020.35
Cash ratio
0.000.15-0.00-0.00-0.000.000.450.670.440.110.44-0.00
Days of Sales Outstanding
55.1235.6054.2235.4133.4936.7534.5552.9635.6235.5335.6233.49
Days of Inventory outstanding
10.2021.6726.3925.1219.5522.4427.1835.0527.2625.0827.2619.55
Operating Cycle
65.3257.2880.6260.5353.0559.2061.7488.0162.8960.6136.0559.20
Days of Payables Outstanding
42.3376.0637.4348.5339.5250.3549.5664.6940.9337.1440.9339.52
Cash Conversion Cycle
22.98-18.7843.1812.0013.538.8412.1723.3221.9523.461.418.84
Debt Ratios
Debt Ratio
0.810.710.610.560.720.650.480.390.400.280.750.72
Debt Equity Ratio
-7.2518.8537.114.13-11.38-2.866.741.361.650.823.10-11.38
Long-term Debt to Capitalization
1.170.930.950.00-0.01-1.860.860.570.600.410.66-0.01
Total Debt to Capitalization
1.150.940.970.801.091.530.870.570.620.450.671.53
Interest Coverage Ratio
0.00-0.170.100.71-0.88-0.09-1.26N/AN/AN/A-1.44-0.09
Cash Flow to Debt Ratio
0.070.100.010.190.070.110.000.060.200.400.160.07
Company Equity Multiplier
-8.9026.4360.047.34-15.63-4.3613.813.434.102.844.10-15.63
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.060.180.010.090.050.050.000.020.050.070.050.05
Free Cash Flow / Operating Cash Flow Ratio
0.600.80-0.730.520.320.44-7.530.020.390.680.390.32
Cash Flow Coverage Ratio
0.070.100.010.190.070.110.000.060.200.400.160.07
Short Term Coverage Ratio
1.310.540.040.190.070.140.059.913.012.752.230.07
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A