Enerplus
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
6.372.71N/AN/A
Price/Sales ratio
2.111.831.291.26
Earnings per Share (EPS)
CA$2.09CA$4.92N/AN/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
8.88-0.899.7615.809.33-10.76-1.2211.334.517.099.839.33
Price/Sales ratio
1.501.325.594.002.071.851.062.011.751.912.442.07
Price/Book Value ratio
1.191.512.652.331.761.892.104.363.832.633.031.76
Price/Cash Flow ratio
3.372.9212.427.864.774.022.524.393.513.444.584.58
Price/Free Cash Flow ratio
-53.92-32.28-158.671.01K30.5044.4310.958.205.728.3814.9544.43
Price/Earnings Growth ratio
0.010.00-0.07-0.390.200.06-0.00-0.080.01-0.15-1.610.06
Dividend Yield
8.70%9.71%0.91%0.77%1.12%0.99%2.24%1.21%1.00%1.50%1.28%1.12%
Profitability Indicator Ratios
Gross Profit Margin
37.63%1.34%-4.05%34.38%36.94%20.77%12.24%39.82%57.64%38.15%36.38%20.77%
Operating Profit Margin
31.66%-8.77%-16.50%26.44%32.48%16.44%6.18%35.70%54.73%34.53%30.78%16.44%
Pretax Profit Margin
24.81%-164.62%23.10%34.11%28.33%-14.05%-112.29%25.45%51.31%33.48%28.96%28.33%
Net Profit Margin
16.98%-148.31%57.31%25.34%22.26%-17.23%-87.56%17.76%38.85%26.91%23.90%22.26%
Effective Tax Rate
31.54%9.90%-148.04%25.70%21.43%-22.59%22.02%30.20%24.28%19.62%17.48%-22.59%
Return on Assets
7.32%-59.01%15.06%8.95%12.13%-10.12%-62.96%11.78%47.17%22.04%18.87%12.13%
Return On Equity
13.45%-169.69%27.21%14.80%18.90%-17.64%-172.37%38.47%84.92%37.15%31.79%18.90%
Return on Capital Employed
15.69%-3.86%-4.78%10.41%19.96%11.54%6.06%34.42%89.77%36.79%31.19%19.96%
Liquidity Ratios
Current Ratio
0.800.882.101.781.780.870.59N/AN/AN/A0.700.87
Quick Ratio
0.390.590.501.771.610.850.580.480.730.790.700.85
Cash ratio
0.000.020.001.271.020.360.290.090.070.130.070.36
Days of Sales Outstanding
41.4146.9660.7350.9743.0449.3836.8163.0642.8957.8257.2743.04
Days of Inventory outstanding
71.7025.73198.342.2920.183.231.402.6013.381.10N/A3.23
Operating Cycle
113.1172.69259.0853.2663.2352.6138.2265.6656.2758.9257.2752.61
Days of Payables Outstanding
36.9726.1840.3369.7559.4956.7557.02119.87105.54102.44127.4459.49
Cash Conversion Cycle
76.1446.50218.75-16.483.73-4.13-18.80-54.20-49.26-43.51-70.16-4.13
Debt Ratios
Debt Ratio
0.270.470.290.250.220.250.350.360.140.100.090.25
Debt Equity Ratio
0.511.360.520.420.340.440.981.190.260.170.150.44
Long-term Debt to Capitalization
0.310.570.330.280.240.260.430.500.140.080.070.26
Total Debt to Capitalization
0.330.570.340.290.250.300.490.540.200.140.130.30
Interest Coverage Ratio
5.19-3.50-1.876.0112.609.03-2.09N/AN/AN/A37.3212.60
Cash Flow to Debt Ratio
0.690.380.400.701.061.050.840.824.154.414.151.06
Company Equity Multiplier
1.832.871.801.651.551.742.733.261.801.681.631.55
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.440.450.450.500.430.460.420.450.490.550.510.43
Free Cash Flow / Operating Cash Flow Ratio
-0.06-0.09-0.070.000.150.090.230.530.610.410.310.15
Cash Flow Coverage Ratio
0.690.380.400.701.061.050.840.824.154.414.151.06
Short Term Coverage Ratio
7.95N/A10.5717.2112.315.613.805.4312.4410.128.968.96
Dividend Payout Ratio
77.34%-8.66%8.91%12.24%10.54%-10.72%-2.74%13.77%4.54%10.65%12.96%10.54%