Medical Facilities
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
15.675.91
Price/Sales ratio
0.640.64
Earnings per Share (EPS)
CA$0.59CA$1.58

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
21.286.8441.5617.0516.321.924.594.9414.169.2410.2110.21
Price/Sales ratio
1.591.041.190.910.790.280.470.570.410.380.570.28
Price/Book Value ratio
3.341.942.722.482.480.911.341.712.201.982.572.48
Price/Cash Flow ratio
5.634.025.174.394.191.481.973.033.052.352.451.48
Price/Free Cash Flow ratio
6.224.4211.725.115.731.772.153.413.463.013.411.77
Price/Earnings Growth ratio
0.200.06-0.520.1410.930.01-0.120.19-0.190.12-0.100.01
Dividend Yield
6.46%8.60%6.50%7.60%7.91%21.00%3.43%3.00%4.30%3.55%2.41%21.00%
Profitability Indicator Ratios
Gross Profit Margin
71.94%72.53%70.65%70.16%69.19%67.73%66.76%67.38%66.09%66.58%68.12%68.12%
Operating Profit Margin
22.84%24.18%20.05%15.18%17.00%27.95%18.63%19.40%11.05%15.06%19.58%17.00%
Pretax Profit Margin
22.38%30.73%11.39%13.78%14.02%18.01%11.48%12.76%4.12%11.74%12.72%18.01%
Net Profit Margin
7.47%15.26%2.87%5.35%4.84%14.99%10.28%11.66%2.89%4.15%4.42%14.99%
Effective Tax Rate
21.22%26.04%-2.56%12.30%14.82%16.77%10.43%8.63%29.75%15.91%5.88%16.77%
Return on Assets
5.68%12.30%1.98%4.49%4.34%12.68%8.18%10.40%3.25%5.21%5.89%4.34%
Return On Equity
15.71%28.41%6.55%14.56%15.23%47.72%29.34%34.67%15.53%21.51%24.55%15.23%
Return on Capital Employed
19.53%22.04%15.93%16.71%19.20%28.88%19.07%21.16%16.13%24.67%33.60%19.20%
Liquidity Ratios
Current Ratio
2.372.942.131.301.331.831.44N/AN/AN/A1.151.83
Quick Ratio
2.242.802.031.241.241.751.351.691.261.131.021.75
Cash ratio
0.911.310.780.510.360.370.650.740.400.290.250.37
Days of Sales Outstanding
55.0057.6365.6461.9058.2060.9264.4361.7655.0550.5947.4660.92
Days of Inventory outstanding
24.3725.9522.9021.5023.5421.1828.1629.8923.4022.0825.1023.54
Operating Cycle
79.3783.5888.5583.4181.7582.1192.5991.6578.4572.6772.5682.11
Days of Payables Outstanding
63.3881.9279.1675.1463.5267.0673.8567.2066.9556.7549.0767.06
Cash Conversion Cycle
15.991.669.388.2618.2315.0418.7424.4511.5015.9223.4818.23
Debt Ratios
Debt Ratio
0.190.170.310.310.350.320.210.170.220.190.160.32
Debt Equity Ratio
0.520.391.051.031.241.210.760.591.080.800.701.21
Long-term Debt to Capitalization
0.320.250.470.360.460.510.380.350.480.380.310.51
Total Debt to Capitalization
0.340.280.510.500.550.540.430.370.510.440.410.54
Interest Coverage Ratio
5.716.095.284.544.793.634.72N/AN/AN/A2.823.63
Cash Flow to Debt Ratio
1.121.210.490.540.470.510.890.950.661.051.480.47
Company Equity Multiplier
2.762.303.313.243.503.763.583.334.774.124.283.50
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.280.250.230.200.180.190.230.180.130.160.180.19
Free Cash Flow / Operating Cash Flow Ratio
0.900.900.440.860.730.830.910.880.880.770.910.73
Cash Flow Coverage Ratio
1.121.210.490.540.470.510.890.950.661.051.480.47
Short Term Coverage Ratio
13.6610.223.761.221.574.284.5914.285.865.064.111.57
Dividend Payout Ratio
137.53%58.89%270.40%129.70%129.13%40.41%15.77%14.87%60.95%32.81%30.84%40.41%