California Water Service Group
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
19.8318.6116.6415.59
Price/Sales ratio
2.572.452.362.25
Earnings per Share (EPS)
$2.37$2.53$2.83$3.02

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.7224.7433.3932.4034.9239.3427.4936.6934.3056.9013.3539.34
Price/Sales ratio
1.961.892.663.263.283.473.354.693.893.712.633.47
Price/Book Value ratio
1.871.732.463.133.133.182.883.152.492.071.653.18
Price/Cash Flow ratio
9.177.7010.1714.7212.7914.7122.5716.0113.5113.569.0514.71
Price/Free Cash Flow ratio
-302.97-34.58-23.47-19.55-24.71-23.65-14.73-60.35-39.22-17.80-18.75-24.71
Price/Earnings Growth ratio
1.24-1.173.920.66-3.31-10.700.54-72.28-3.53-1.17-2.51-3.31
Dividend Yield
2.64%2.87%2.03%1.58%1.57%1.53%1.56%1.27%1.64%1.99%2.45%1.57%
Profitability Indicator Ratios
Gross Profit Margin
59.19%61.01%60.12%60.35%60.27%60.51%61.63%61.17%62.55%45.72%45.67%60.51%
Operating Profit Margin
13.69%12.09%12.50%14.18%15.83%13.91%17.20%15.95%15.08%9.70%23.16%15.83%
Pretax Profit Margin
14.17%11.94%12.38%15.07%11.66%11.30%13.70%13.28%12.00%5.61%22.84%11.66%
Net Profit Margin
9.49%7.65%7.98%10.07%9.39%8.83%12.19%12.78%11.34%6.53%19.55%9.39%
Effective Tax Rate
33.02%35.96%35.52%33.18%19.48%21.87%11.04%3.89%6.27%-15.20%14.69%21.87%
Return on Assets
2.59%2.00%2.01%2.45%2.31%2.02%2.85%2.79%2.49%1.12%4.01%2.31%
Return On Equity
9.05%7.01%7.38%9.68%8.98%8.09%10.50%8.58%7.28%3.63%13.26%8.98%
Return on Capital Employed
4.15%3.39%3.52%4.20%4.39%3.61%4.87%3.74%3.58%1.85%5.36%4.39%
Liquidity Ratios
Current Ratio
0.700.850.560.460.580.510.45N/AN/AN/A0.630.58
Quick Ratio
0.680.810.540.450.560.490.431.130.960.650.600.56
Cash ratio
0.080.050.100.190.140.110.070.300.210.090.100.11
Days of Sales Outstanding
30.2633.9233.2634.0433.1734.1935.8843.1738.0444.2563.4133.17
Days of Inventory outstanding
9.0410.089.458.928.6610.0110.5711.3014.4613.6812.978.66
Operating Cycle
39.3044.0142.7142.9641.8444.2146.4654.4752.5057.9476.3841.84
Days of Payables Outstanding
88.92100.18116.88129.70125.78140.29157.76171.60162.34133.13111.96140.29
Cash Conversion Cycle
-49.61-56.16-74.17-86.73-83.94-96.08-111.30-117.13-109.83-75.19-35.57-83.94
Debt Ratios
Debt Ratio
0.230.240.270.290.310.310.340.290.290.260.260.31
Debt Equity Ratio
0.800.850.991.161.201.261.250.900.850.860.801.26
Long-term Debt to Capitalization
0.400.440.440.420.490.500.450.470.440.420.390.50
Total Debt to Capitalization
0.440.460.490.530.540.550.550.470.460.460.440.55
Interest Coverage Ratio
4.023.503.313.643.412.803.53N/AN/AN/A4.283.41
Cash Flow to Debt Ratio
0.250.260.240.180.200.170.100.210.210.170.220.20
Company Equity Multiplier
3.493.493.653.953.883.983.683.072.923.223.073.98
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.210.240.260.220.250.230.140.290.280.270.280.25
Free Cash Flow / Operating Cash Flow Ratio
-0.03-0.22-0.43-0.75-0.51-0.62-1.53-0.26-0.34-0.76-0.48-0.51
Cash Flow Coverage Ratio
0.250.260.240.180.200.170.100.210.210.170.220.20
Short Term Coverage Ratio
1.493.641.290.501.050.850.3144.623.321.211.131.05
Dividend Payout Ratio
54.74%71.23%67.96%51.44%54.95%60.24%43.13%46.87%56.43%113.72%31.70%60.24%