Canadian Solar
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
2.841.961.171.14
Price/Sales ratio
0.070.070.050.05
Earnings per Share (EPS)
$4.33$6.29$10.48$10.74

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
5.499.3910.7310.013.697.6820.8020.248.286.2510.443.69
Price/Sales ratio
0.440.460.240.290.230.410.870.360.260.220.330.23
Price/Book Value ratio
1.831.970.790.960.710.941.941.071.020.671.290.71
Price/Cash Flow ratio
4.963.90-2.514.884.052.19-25.32-4.722.162.505.244.05
Price/Free Cash Flow ratio
6.58-7.04-0.50-9.33-8.754.26-6.70-2.306.88-2.0311.23-8.75
Price/Earnings Growth ratio
0.01-0.31-0.160.190.02-0.29-1.42-0.540.050.430.080.02
Dividend Yield
N/AN/AN/A0.96%0.34%0.08%N/AN/AN/AN/AN/A0.08%
Profitability Indicator Ratios
Gross Profit Margin
19.62%16.63%14.62%18.80%20.69%22.44%19.84%17.23%16.91%16.81%16.91%22.44%
Operating Profit Margin
12.37%7.13%3.26%7.94%9.73%3.47%0.59%-1.54%4.76%5.95%4.76%4.76%
Pretax Profit Margin
10.83%6.44%3.07%3.96%7.97%5.61%3.86%2.62%4.77%5.36%4.77%5.61%
Net Profit Margin
8.08%4.95%2.28%2.93%6.33%5.36%4.21%1.80%3.21%3.60%3.21%5.36%
Effective Tax Rate
24.13%22.15%20.50%30.44%20.76%23.41%-1.47%25.88%20.57%14.56%20.57%23.41%
Return on Assets
7.79%3.89%1.20%1.69%4.84%3.13%2.24%1.28%2.65%2.30%2.65%3.13%
Return On Equity
33.42%20.98%7.37%9.64%19.34%12.31%9.34%5.28%12.35%10.71%13.08%13.08%
Return on Capital Employed
32.61%14.04%5.52%15.11%18.75%4.68%0.69%-2.42%9.42%7.51%9.31%9.31%
Liquidity Ratios
Current Ratio
1.180.851.010.991.041.051.16N/AN/AN/A1.081.04
Quick Ratio
0.960.720.930.910.950.870.970.880.780.830.420.87
Cash ratio
0.280.200.130.130.150.210.320.210.180.330.180.15
Days of Sales Outstanding
51.6061.4961.2051.6660.6567.5357.2961.3860.4157.9960.4167.53
Days of Inventory outstanding
66.3142.2344.2545.8832.2081.4791.1699.6489.6467.9889.6432.20
Operating Cycle
117.91103.72105.4697.5592.86149.01148.45161.02150.05125.97104.5492.86
Days of Payables Outstanding
63.3364.7065.9453.4346.6486.1167.4242.0347.3646.8947.3646.64
Cash Conversion Cycle
54.5739.0139.5144.1246.2162.9081.03118.99102.6879.0835.1462.90
Debt Ratios
Debt Ratio
0.320.430.570.420.460.450.430.440.440.360.740.46
Debt Equity Ratio
1.402.333.512.411.841.761.821.812.051.693.461.84
Long-term Debt to Capitalization
0.280.480.410.330.270.330.320.300.340.390.350.27
Total Debt to Capitalization
0.580.700.770.700.640.630.640.640.670.620.670.64
Interest Coverage Ratio
7.494.560.761.933.123.173.04N/AN/AN/A4.793.12
Cash Flow to Debt Ratio
0.260.21-0.080.080.090.24-0.04-0.120.220.150.110.09
Company Equity Multiplier
4.285.396.115.703.993.924.164.104.654.644.653.99
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.080.11-0.090.060.050.18-0.03-0.070.120.080.060.05
Free Cash Flow / Operating Cash Flow Ratio
0.75-0.554.99-0.52-0.460.513.772.050.31-1.220.46-0.46
Cash Flow Coverage Ratio
0.260.21-0.080.080.090.24-0.04-0.120.220.150.110.09
Short Term Coverage Ratio
0.360.35-0.110.100.120.34-0.05-0.160.310.250.160.12
Dividend Payout Ratio
N/AN/AN/A9.62%1.27%0.65%N/AN/AN/AN/AN/A0.65%