Canadian Utilities Limited
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
15.2814.9013.89
Price/Sales ratio
2.342.182.59
Earnings per Share (EPS)
CA$2.4CA$2.46CA$2.64

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
15.0724.0115.5920.8113.4111.2219.8525.1915.6012.1818.9013.41
Price/Sales ratio
2.972.582.842.491.942.732.622.812.432.261.912.73
Price/Book Value ratio
1.911.361.551.601.331.581.281.491.431.241.371.33
Price/Cash Flow ratio
6.965.235.967.669.777.865.195.764.606.496.367.86
Price/Free Cash Flow ratio
-16.29-153.6929.38105.81-31.9643.4111.4419.9212.79-717.71121.17-31.96
Price/Earnings Growth ratio
0.75-0.430.18-1.050.320.29-0.33-3.320.220.9610.020.32
Dividend Yield
2.11%3.18%3.76%3.61%5.08%4.95%6.41%5.46%5.42%6.21%5.19%5.08%
Profitability Indicator Ratios
Gross Profit Margin
59.47%62.77%72.19%62.00%61.57%68.24%70.27%67.45%67.53%67.72%44.57%68.24%
Operating Profit Margin
34.08%26.16%36.68%26.34%30.50%37.72%30.06%26.74%29.86%34.79%15.93%37.72%
Pretax Profit Margin
25.83%17.31%25.44%16.19%19.78%25.88%18.12%15.30%20.70%24.10%16.03%25.88%
Net Profit Margin
19.75%10.78%18.24%11.99%14.48%24.35%13.20%11.18%15.61%18.62%13.41%24.35%
Effective Tax Rate
22.15%36.28%27.28%24.84%25.98%5.24%25.93%25.65%23.74%21.63%23.37%5.24%
Return on Assets
4.25%1.94%3.30%2.31%2.90%4.74%2.10%1.86%2.87%3.05%2.15%4.74%
Return On Equity
12.68%5.68%9.97%7.69%9.94%14.12%6.44%5.92%9.18%10.18%7.21%14.12%
Return on Capital Employed
7.80%4.94%6.97%5.33%6.61%7.63%5%4.78%5.85%6.07%2.63%7.63%
Liquidity Ratios
Current Ratio
1.021.321.102.151.122.311.82N/AN/AN/A1.621.12
Quick Ratio
0.931.261.062.101.102.271.781.201.390.961.541.10
Cash ratio
0.350.650.350.400.331.310.900.520.520.140.251.31
Days of Sales Outstanding
51.2052.3360.6760.3666.9658.9774.2879.8579.7072.5952.1858.97
Days of Inventory outstanding
21.2613.2114.679.546.728.8310.636.706.6619.069.696.72
Operating Cycle
72.4665.5575.3469.9073.6867.8184.9286.5586.3791.6661.8867.81
Days of Payables Outstanding
207.39218.09233.67197.29183.36157.77208.51235.78274.72244.32N/A157.77
Cash Conversion Cycle
-134.92-152.54-158.32-127.38-109.67-89.96-123.59-149.22-188.34-152.6661.88-109.67
Debt Ratios
Debt Ratio
0.430.440.440.470.480.440.440.450.430.450.460.46
Debt Equity Ratio
1.301.291.341.581.641.331.361.431.381.511.571.57
Long-term Debt to Capitalization
0.560.560.560.610.600.560.570.570.570.590.610.60
Total Debt to Capitalization
0.560.560.570.610.620.570.570.580.580.600.610.61
Interest Coverage Ratio
2.692.022.472.101.782.472.36N/AN/AN/A1.172.47
Cash Flow to Debt Ratio
0.210.200.190.130.080.150.180.180.220.120.130.08
Company Equity Multiplier
2.972.913.023.313.422.973.063.173.193.333.383.38
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.420.490.470.320.190.340.500.480.520.340.390.19
Free Cash Flow / Operating Cash Flow Ratio
-0.42-0.030.200.07-0.300.180.450.280.36-0.000.03-0.30
Cash Flow Coverage Ratio
0.210.200.190.130.080.150.180.180.220.120.130.08
Short Term Coverage Ratio
15.0976.957.0848.591.278.599.653.1420.182.5125.631.27
Dividend Payout Ratio
31.92%76.42%58.70%75.15%68.13%55.62%127.40%137.65%84.65%75.67%107.38%68.13%