1056883
Financial ratios & Valuation

Historical Multiples (2013 – 2017)

2013 2014 2015 2016 2017 TTM Median
Valuation Ratios
Price/Earnings ratio
13.8310.11258.8965.81-96.88N/A258.89
Price/Sales ratio
0.500.680.760.661.27N/A0.76
Price/Book Value ratio
2.422.273.192.345.13N/A3.19
Price/Cash Flow ratio
6.805.706.505.909.90N/A6.50
Price/Free Cash Flow ratio
10.517.808.8510.6213.23N/A8.85
Price/Earnings Growth ratio
N/A0.15-2.700.600.40N/A-2.70
Dividend Yield
1.62%N/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
20.95%28.66%21.67%27.03%27.10%N/A21.67%
Operating Profit Margin
7.39%11.36%-1.41%4.39%-1.05%N/A-1.41%
Pretax Profit Margin
3.43%9.71%-2.26%0.14%-2.28%N/A-2.26%
Net Profit Margin
3.66%6.77%0.29%1.01%-1.31%N/A0.29%
Effective Tax Rate
-6.79%30.32%113.04%-620%42.52%N/A113.04%
Return on Assets
4.88%7.72%0.35%0.93%-1.15%N/A0.35%
Return On Equity
17.54%22.49%1.23%3.55%-5.29%N/A1.23%
Return on Capital Employed
14.03%18.63%-2.60%6.08%-1.40%N/A-2.60%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/A
Quick Ratio
0.611.621.361.301.10N/A1.36
Cash ratio
0.610.700.580.450.42N/A0.58
Days of Sales Outstanding
0.3877.470.650.3578.83N/A0.65
Days of Inventory outstanding
N/AN/AN/AN/AN/AN/AN/A
Operating Cycle
0.3877.470.650.3578.83N/A0.65
Days of Payables Outstanding
11.4815.5116.1524.0026.98N/A16.15
Cash Conversion Cycle
-11.0961.96-15.49-23.6451.84N/A-15.49
Debt Ratios
Debt Ratio
0.240.250.260.340.34N/A0.26
Debt Equity Ratio
0.870.730.911.301.56N/A0.91
Long-term Debt to Capitalization
0.440.360.370.480.54N/A0.37
Total Debt to Capitalization
0.460.420.470.560.61N/A0.47
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
0.400.540.530.300.33N/A0.53
Company Equity Multiplier
3.582.913.493.824.58N/A3.49
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.070.120.110.110.12N/A0.11
Free Cash Flow / Operating Cash Flow Ratio
0.640.730.730.550.74N/A0.73
Cash Flow Coverage Ratio
0.400.540.530.300.33N/A0.53
Short Term Coverage Ratio
4.782.291.581.121.32N/A1.58
Dividend Payout Ratio
22.54%N/AN/AN/AN/AN/AN/A