Caesars Entertainment
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
14.119.91
Price/Sales ratio
0.440.44
Earnings per Share (EPS)
$1.79$2.55

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-32.523.2116.1111.485.4813.04-5.49-20.01-16.9812.82-10.9813.04
Price/Sales ratio
1.290.510.440.570.250.412.772.060.820.870.910.25
Price/Book Value ratio
3.091.351.330.890.500.941.924.402.392.212.650.50
Price/Cash Flow ratio
13.846.474.096.521.613.38-16.9016.839.135.5710.121.61
Price/Free Cash Flow ratio
20.1218.407.9618.172.977.45-12.5558.04741.8619.57822.732.97
Price/Earnings Growth ratio
0.14-0.00-0.200.100.39-0.800.000.300.35-0.05-1.57-0.80
Dividend Yield
0.12%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
37.67%37.92%39.56%45.23%48.65%53.08%49.10%51.44%50.08%53.20%50.08%48.65%
Operating Profit Margin
4.85%10.07%9.98%6.43%15.08%16.21%6.39%15.25%16.07%21.44%17.19%15.08%
Pretax Profit Margin
-3.46%6.19%4.26%-2.94%6.59%4.94%-46.97%-13.26%-5.22%-0.52%-5.22%4.94%
Net Profit Margin
-3.98%15.86%2.77%5.01%4.63%3.20%-50.60%-10.30%-4.84%6.81%-8.30%3.20%
Effective Tax Rate
-14.08%-155.99%34.81%270.64%29.77%35.18%-7.72%22.30%7.25%1480%7.25%35.18%
Return on Assets
-1.22%8.61%1.91%2.08%1.61%1.43%-4.83%-2.59%-1.56%2.35%-2.68%1.43%
Return On Equity
-9.52%42.20%8.31%7.82%9.25%7.24%-35.04%-22.00%-14.11%17.26%-23.99%7.24%
Return on Capital Employed
1.62%5.94%7.47%2.85%5.62%8.27%0.65%4.46%5.63%8.05%6.03%5.62%
Liquidity Ratios
Current Ratio
1.271.090.991.141.420.872.57N/AN/AN/A0.780.87
Quick Ratio
1.200.980.881.061.370.852.561.110.760.740.610.85
Cash ratio
0.950.740.590.610.570.290.680.200.380.370.380.38
Days of Sales Outstanding
7.535.066.0011.3413.537.7835.9318.0020.6019.2520.6013.53
Days of Inventory outstanding
11.709.597.477.637.125.659.083.293.983.113.985.65
Operating Cycle
19.2414.6513.4818.9720.6513.4345.0121.3024.5922.369.0613.43
Days of Payables Outstanding
19.4513.8914.5915.7320.2319.0634.4719.9521.2227.6021.2220.23
Cash Conversion Cycle
-0.200.76-1.103.240.41-5.6210.531.353.37-5.240.37-5.62
Debt Ratios
Debt Ratio
0.660.650.610.610.710.450.380.360.380.360.880.71
Debt Equity Ratio
5.143.202.682.314.102.302.813.073.432.698.014.10
Long-term Debt to Capitalization
0.830.760.720.690.800.670.730.750.770.720.870.80
Total Debt to Capitalization
0.830.760.720.690.800.690.730.750.770.720.870.80
Interest Coverage Ratio
0.721.161.942.061.981.560.03N/AN/AN/A0.811.56
Cash Flow to Debt Ratio
0.040.060.120.050.070.12-0.040.080.070.140.030.12
Company Equity Multiplier
7.754.894.333.755.745.047.258.489.027.329.025.74
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.070.100.080.150.12-0.160.120.090.150.090.12
Free Cash Flow / Operating Cash Flow Ratio
0.680.350.510.350.540.451.340.290.010.280.010.45
Cash Flow Coverage Ratio
0.040.060.120.050.070.12-0.040.080.070.140.030.12
Short Term Coverage Ratio
1.05K12.5321.46211.77699.741.27-8.5216.749.0227.836.171.27
Dividend Payout Ratio
-3.98%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A