Curtiss-Wright
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
44.0939.3036.5231.69
Price/Sales ratio
6.045.695.445.41
Earnings per Share (EPS)
$11.09$12.45$13.39$15.44

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
29.9021.9523.3025.0516.2519.5724.1121.3221.7724.0533.7316.25
Price/Sales ratio
1.511.442.072.371.852.422.032.232.502.994.421.85
Price/Book Value ratio
2.292.543.383.522.923.392.713.063.213.665.512.92
Price/Cash Flow ratio
10.2119.6510.3113.8413.3214.2818.5914.4521.7419.0326.1313.32
Price/Free Cash Flow ratio
12.8025.1511.5916.0215.9317.1222.7216.1724.9821.1428.7015.93
Price/Earnings Growth ratio
-1.510.680.661.650.551.33-0.730.571.351.162.650.55
Dividend Yield
0.73%0.75%0.52%0.45%0.58%0.46%0.58%0.51%0.44%0.35%0.23%0.46%
Profitability Indicator Ratios
Gross Profit Margin
34.61%35.51%35.58%36.04%36.12%36.12%35.17%37.24%37.33%37.50%37.00%36.12%
Operating Profit Margin
12.58%14.08%14.60%14.95%15.49%16.23%12.07%11.94%12.85%17.03%17.43%15.49%
Pretax Profit Margin
11.00%12.47%12.70%13.19%14.77%15.93%11.00%14.14%15.22%16.27%17.05%14.77%
Net Profit Margin
5.05%6.59%8.88%9.46%11.43%12.36%8.42%10.48%11.51%12.45%13.20%11.43%
Effective Tax Rate
31.17%30.14%29.32%28.27%22.59%22.41%23.43%24.63%24.37%23.44%22.57%22.41%
Return on Assets
3.33%4.80%6.16%6.64%8.47%8.17%5.00%6.40%6.61%7.67%8.33%8.33%
Return On Equity
7.66%11.58%14.50%14.06%18.01%17.33%11.26%14.38%14.77%15.22%16.85%17.33%
Return on Capital Employed
9.98%12.40%13.04%12.84%14.54%13.37%8.99%8.88%9.45%12.70%13.78%13.78%
Liquidity Ratios
Current Ratio
2.742.502.092.371.952.051.60N/AN/AN/A1.971.95
Quick Ratio
2.061.781.551.731.331.481.071.211.061.491.381.33
Cash ratio
0.780.540.820.800.400.520.240.230.260.500.440.40
Days of Sales Outstanding
80.6293.7180.1479.5489.8592.7489.8594.25103.2493.98101.5489.85
Days of Inventory outstanding
96.7297.4098.6095.21100.3297.57100.9895.52110.04104.69109.50100.32
Operating Cycle
177.35191.11178.74174.75190.17190.32190.84189.78213.29198.67211.05190.17
Days of Payables Outstanding
37.8941.8947.8046.5355.1950.9847.3849.1260.7050.0541.8350.98
Cash Conversion Cycle
139.45149.21130.94128.21134.97139.33143.46140.66152.58148.62169.22134.97
Debt Ratios
Debt Ratio
0.280.310.310.250.230.200.260.250.280.220.210.20
Debt Equity Ratio
0.640.750.740.530.490.420.590.570.620.440.420.42
Long-term Debt to Capitalization
0.390.430.380.340.330.300.340.360.340.300.270.30
Total Debt to Capitalization
0.390.430.420.340.330.300.370.360.380.300.290.30
Interest Coverage Ratio
7.888.617.468.1910.9912.889.94N/AN/AN/A12.1710.99
Cash Flow to Debt Ratio
0.340.170.430.470.440.550.240.370.230.420.500.44
Company Equity Multiplier
2.292.412.352.112.122.122.242.242.231.981.962.12
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.070.200.170.130.160.100.150.110.150.170.13
Free Cash Flow / Operating Cash Flow Ratio
0.790.780.880.860.830.830.810.890.870.900.900.83
Cash Flow Coverage Ratio
0.340.170.430.470.440.550.240.370.230.420.500.44
Short Term Coverage Ratio
310.35129.052.802.59K1.38KN/A2.61N/A1.45N/A5.83N/A
Dividend Payout Ratio
22.06%16.58%12.31%11.51%9.54%9.16%13.99%10.90%9.77%8.53%7.61%9.16%