Centrais Elétricas Brasileiras S.A. - Eletrobrás
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
1.811.39N/AN/A
Price/Sales ratio
0.320.280.300.33
Earnings per Share (EPS)
$4.25$5.55N/AN/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-2.53-0.508.81-14.782.536.798.709.4231.0819.708.152.53
Price/Sales ratio
0.250.220.490.681.331.821.911.412.412.412.121.33
Price/Book Value ratio
0.130.170.680.610.600.710.750.690.740.790.680.60
Price/Cash Flow ratio
1.601.0416.0612.0213.82-586.8713.24-6.468.8810.879.919.91
Price/Free Cash Flow ratio
4.122.96275.2530.0629.00-24.0530.85-4.87-3.3821.7418.1618.16
Price/Earnings Growth ratio
0.04-0.00-0.070.09-0.00-0.15-0.35-0.72-0.490.340.01-0.00
Dividend Yield
5.30%0.31%0.01%1.46%0.19%2.33%4.66%7.04%1.80%0.96%1.37%0.19%
Profitability Indicator Ratios
Gross Profit Margin
46.01%47.86%73.31%59.41%77.83%75.55%53.82%68.20%53.46%49.74%45.72%75.55%
Operating Profit Margin
-2.44%-40.12%24.42%10.09%55.80%20.76%23.85%35.63%16.68%29.64%25.55%20.76%
Pretax Profit Margin
-4.17%-43.70%19.79%-0.52%70.91%22.97%23.90%29.22%9.82%4.65%16.66%22.97%
Net Profit Margin
-10.02%-44.31%5.63%-4.65%52.62%26.90%21.96%15.00%7.78%12.24%26.68%26.90%
Effective Tax Rate
-134.74%-4.98%70.78%-761.13%14.02%-17.11%8.13%48.03%20.78%-173.48%-46.91%-17.11%
Return on Assets
-2.09%-9.65%1.97%-1.01%7.25%4.20%3.56%2.99%0.98%1.70%3.63%4.20%
Return On Equity
-5.36%-34.30%7.75%-4.16%23.66%10.51%8.69%7.41%2.39%4.05%9.11%10.51%
Return on Capital Employed
-0.59%-10.75%10.64%2.75%9.63%3.79%4.54%8.09%2.33%4.59%3.84%3.79%
Liquidity Ratios
Current Ratio
1.581.040.941.091.281.581.71N/AN/AN/A2.051.28
Quick Ratio
1.541.010.841.061.251.541.671.721.841.742.041.25
Cash ratio
0.070.040.020.020.010.010.010.000.430.480.810.01
Days of Sales Outstanding
53.4246.3426.4544.9259.6169.5274.9549.4351.3651.18188.3859.61
Days of Inventory outstanding
19.0622.2122.4322.4258.7254.4225.5034.0328.928.348.3854.42
Operating Cycle
72.4968.5548.8967.35118.34123.95100.4683.4780.2959.52196.77118.34
Days of Payables Outstanding
167.42217.57217.48247.95221.52166.69106.12123.0280.9557.9335.34166.69
Cash Conversion Cycle
-94.92-149.01-168.59-180.60-103.18-42.74-5.66-39.54-0.661.58161.43-103.18
Debt Ratios
Debt Ratio
0.280.310.260.260.300.270.260.240.220.230.250.27
Debt Equity Ratio
0.721.111.031.070.990.680.650.590.540.560.590.68
Long-term Debt to Capitalization
0.380.500.470.480.430.360.320.310.310.300.320.36
Total Debt to Capitalization
0.410.520.500.510.490.400.390.370.350.350.370.40
Interest Coverage Ratio
-2.15-3.231.11-0.482.402.0319.34N/AN/AN/A2.962.40
Cash Flow to Debt Ratio
0.110.140.040.040.04-0.000.08-0.180.150.130.110.04
Company Equity Multiplier
2.553.553.914.083.262.502.432.472.442.372.302.50
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.150.210.030.050.09-0.000.14-0.210.270.220.210.09
Free Cash Flow / Operating Cash Flow Ratio
0.390.350.050.400.4724.400.421.32-2.620.500.530.47
Cash Flow Coverage Ratio
0.110.140.040.040.04-0.000.08-0.180.150.130.110.04
Short Term Coverage Ratio
0.901.500.310.350.19-0.010.33-0.871.050.610.550.19
Dividend Payout Ratio
-13.47%-0.15%0.16%-21.62%0.49%15.86%40.61%66.37%56.19%18.99%8.50%0.49%