Clearway Energy
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
31.9718.2015.8815.88
Price/Sales ratio
2.302.172.142.07
Earnings per Share (EPS)
$0.94$1.66$1.91$1.91

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
83.0237.5727.16-116.9437.37-22.65-59.22-56.203.5140.6225.2825.28
Price/Sales ratio
1.921.301.511.851.702.103.063.273.132.443.651.70
Price/Book Value ratio
1.070.670.831.070.981.172.012.291.661.521.440.98
Price/Cash Flow ratio
4.533.062.763.623.604.556.736.014.734.573.933.60
Price/Free Cash Flow ratio
5.103.292.863.854.328.738.727.665.527.8613.214.32
Price/Earnings Growth ratio
23.240.990.600.91-0.090.071.53-3.03-0.00-0.430.77-0.09
Dividend Yield
14.07%11.21%11.81%5.77%7.24%7.12%5.74%6.35%9.46%9.69%6.32%7.12%
Profitability Indicator Ratios
Gross Profit Margin
65.31%66.31%70.02%67.69%68.47%66.86%69.47%64.92%63.44%64.00%29.60%66.86%
Operating Profit Margin
39.47%33.57%21.35%28.04%32.95%34.10%27.77%20.76%20.75%20.01%16.34%34.10%
Pretax Profit Margin
16.83%8.07%-1.56%4.85%11.01%-10.07%-4.50%-4.89%107.73%-1.21%-8.86%-10.07%
Net Profit Margin
2.32%3.46%5.58%-1.58%4.55%-9.30%-5.17%-5.83%89.07%6.01%8.51%4.55%
Effective Tax Rate
3.44%15.58%6.25%146.93%53.44%7.69%-14.81%-19.04%17.31%12.5%30.70%30.70%
Return on Assets
0.22%0.37%0.67%-0.19%0.56%-0.98%-0.58%-0.58%8.60%0.53%0.85%0.56%
Return On Equity
1.29%1.79%3.08%-0.91%2.63%-5.19%-3.39%-4.09%47.44%3.76%5.78%2.63%
Return on Capital Employed
4.13%3.90%2.75%3.62%4.45%4.60%3.34%2.38%2.11%1.90%1.72%4.60%
Liquidity Ratios
Current Ratio
N/A0.691.400.991.070.291.11N/AN/AN/A1.591.07
Quick Ratio
1.480.771.320.911.010.271.050.911.991.661.491.01
Cash ratio
1.040.220.690.300.570.070.420.101.060.590.440.44
Days of Sales Outstanding
62.5145.1939.6839.0636.0441.7343.5340.8746.9295.8350.7236.04
Days of Inventory outstanding
41.2340.9346.5143.6643.9742.6941.8829.9439.4342.4422.8142.69
Operating Cycle
103.7486.1286.2082.7380.0284.4285.4170.8186.36138.2773.5384.42
Days of Payables Outstanding
29.01123.9475.14106.3670.36112.0688.75146.4846.14124.2328.24112.06
Cash Conversion Cycle
74.72-37.8111.05-23.639.66-27.63-3.33-75.6740.2114.0345.299.66
Debt Ratios
Debt Ratio
0.710.640.680.700.700.690.650.600.550.580.500.69
Debt Equity Ratio
4.043.033.083.343.283.663.824.203.044.123.343.28
Long-term Debt to Capitalization
0.790.740.740.750.740.720.780.790.740.790.750.74
Total Debt to Capitalization
0.800.750.750.760.760.780.790.800.750.800.760.76
Interest Coverage Ratio
N/A1.171.461.071.190.640.88N/AN/AN/A0.550.64
Cash Flow to Debt Ratio
0.050.070.090.080.080.070.070.090.110.080.100.08
Company Equity Multiplier
5.644.714.534.744.665.245.806.995.516.996.674.66
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.420.420.540.510.470.460.450.540.660.530.540.47
Free Cash Flow / Operating Cash Flow Ratio
0.880.920.960.930.830.520.770.780.850.580.500.52
Cash Flow Coverage Ratio
0.050.070.090.080.080.070.070.090.110.080.100.08
Short Term Coverage Ratio
1.361.531.981.680.930.261.410.902.441.251.900.93
Dividend Payout Ratio
1168.75%421.21%321.05%-675%270.83%-161.45%-340.32%-357.33%33.30%393.67%269.67%269.67%