Enerpac Tool Group Corp.
Financial ratios & Valuation

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
66.09-13.37-21.58-82.22168.36224.4039.6673.6331.8926.1325.01224.40
Price/Sales ratio
1.051.221.301.502.072.522.852.022.483.803.792.07
Price/Book Value ratio
1.952.692.853.184.503.473.663.614.545.715.634.50
Price/Cash Flow ratio
10.1811.9416.2716.7725.22-394.7427.8722.3219.1327.5523.2223.22
Price/Free Cash Flow ratio
12.3314.4223.9620.8850.13-74.9935.8126.6621.7732.0527.9427.94
Price/Earnings Growth ratio
-0.760.020.571.21-1.23-7.820.06-1.250.140.283.10-1.23
Dividend Yield
0.19%0.16%0.16%0.13%0.17%0.19%0.15%0.20%0.15%0.09%0.09%0.19%
Profitability Indicator Ratios
Gross Profit Margin
36.96%35.09%34.65%35.11%44.69%44.02%45.99%46.45%49.32%51.06%50.57%44.69%
Operating Profit Margin
4.28%-8.71%-4.58%1.53%11.28%4.90%9.66%5.36%14.02%20.62%21.26%11.28%
Pretax Profit Margin
2.03%-11.34%-7.54%-1.07%2.85%1.59%8.31%4.46%11.51%17.89%18.46%2.85%
Net Profit Margin
1.59%-9.15%-6.04%-1.83%1.23%1.12%7.20%2.74%7.78%14.54%15.13%1.23%
Effective Tax Rate
21.73%19.31%19.92%-70.83%56.91%29.20%8.55%18.80%22.13%22.09%21.74%29.20%
Return on Assets
1.21%-7.29%-4.36%-1.46%0.71%0.67%4.64%2.06%6.10%11.03%11.57%0.71%
Return On Equity
2.95%-20.18%-13.22%-3.87%2.67%1.54%9.23%4.90%14.25%21.87%24.04%2.67%
Return on Capital Employed
3.82%-8.34%-4.41%1.58%8.96%3.36%7.45%5.06%13.65%18.76%19.23%8.96%
Liquidity Ratios
Current Ratio
2.382.241.701.992.433.232.65N/AN/AN/A2.912.43
Quick Ratio
1.771.701.301.522.172.572.091.701.892.312.232.17
Cash ratio
0.710.740.600.750.701.441.040.791.041.291.080.70
Days of Sales Outstanding
56.4159.3263.3538.0470.1762.2771.2768.2059.5864.5961.9862.27
Days of Inventory outstanding
66.1763.9773.2274.3777.8091.4496.3299.8590.0192.21101.1577.80
Operating Cycle
122.58123.30136.57112.41147.97153.72167.60168.06149.59156.81163.13147.97
Days of Payables Outstanding
54.7556.2967.9933.0977.5259.5879.2086.5560.7754.8658.4659.58
Cash Conversion Cycle
67.8367.0168.5879.3170.4494.1488.3981.5188.81101.94104.6770.44
Debt Ratios
Debt Ratio
0.350.400.370.350.400.300.210.260.280.250.240.30
Debt Equity Ratio
0.871.111.120.951.520.700.420.630.650.490.480.70
Long-term Debt to Capitalization
0.460.510.510.470.600.410.290.380.390.320.320.41
Total Debt to Capitalization
0.460.520.520.480.600.410.290.380.390.330.320.41
Interest Coverage Ratio
4.913.682.753.272.641.4711.33N/AN/AN/A12.822.64
Cash Flow to Debt Ratio
0.210.200.150.190.11-0.010.300.250.360.410.490.11
Company Equity Multiplier
2.432.763.032.643.732.291.982.372.331.981.942.29
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.100.100.080.080.08-0.000.100.090.120.130.160.08
Free Cash Flow / Operating Cash Flow Ratio
0.820.820.670.800.505.260.770.830.870.850.830.50
Cash Flow Coverage Ratio
0.210.200.150.190.11-0.010.300.250.360.410.490.11
Short Term Coverage Ratio
32.496.272.923.537.17N/AN/A12.9320.6916.2619.327.17
Dividend Payout Ratio
13.07%-2.25%-3.56%-11.04%30.23%43.53%6.28%15.35%4.88%2.54%2.41%43.53%