Frontline Ltd.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
19.4020.3318.03
Price/Sales ratio
8.018.197.23
Earnings per Share (EPS)
NOK3.47NOK3.31NOK3.73

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-9.6111.239.61-3.08-113.0015.652.99-126.944.936.765.68-113.00
Price/Sales ratio
2.803.781.491.261.272.281.011.881.642.461.521.27
Price/Book Value ratio
-22.081.200.740.680.811.450.760.851.031.941.320.81
Price/Cash Flow ratio
29.358.373.936.4920.557.822.0422.486.325.184.657.82
Price/Free Cash Flow ratio
186.50-2.99-3.34-1.38-5.5726.02-10.29-3.5444.31-5.72-1.81-5.57
Price/Earnings Growth ratio
0.10-0.05-0.220.011.16-0.000.011.23-0.000.3012.621.16
Dividend Yield
N/A2.25%14.63%6.29%0.04%0.89%25.23%N/A1.42%14.39%13.21%0.04%
Profitability Indicator Ratios
Gross Profit Margin
18.25%41.15%35.03%13.89%12.13%29.09%43.94%4.08%33.63%43.06%36.47%12.13%
Operating Profit Margin
-8.68%62.58%23.52%-30.36%11.14%25.01%41.58%3.98%30.96%41.43%38.73%11.14%
Pretax Profit Margin
-30.58%55.68%15.62%-40.85%-1.08%14.65%33.81%-0.86%33.08%36.43%27.22%-1.08%
Net Profit Margin
-29.11%33.69%15.51%-40.97%-1.13%14.62%33.80%-1.48%33.24%36.42%26.82%-1.13%
Effective Tax Rate
-0.26%0.05%0.29%-0.10%-3.90%0.21%-0.00%-71.11%0.08%0.03%1.46%-3.90%
Return on Assets
-16.93%5.35%3.94%-8.45%-0.27%3.78%10.53%-0.27%9.95%11.15%8.70%-0.27%
Return On Equity
229.55%10.69%7.80%-22.30%-0.72%9.26%25.61%-0.67%20.96%28.81%23.21%-0.72%
Return on Capital Employed
-7.67%10.86%6.37%-6.74%2.88%8.40%13.96%0.78%10.09%13.64%13.77%2.88%
Liquidity Ratios
Current Ratio
0.701.932.091.441.430.521.34N/AN/AN/A1.420.52
Quick Ratio
0.491.601.640.990.840.361.010.721.691.441.420.84
Cash ratio
0.191.091.100.460.310.200.620.380.640.750.580.31
Days of Sales Outstanding
34.0076.9235.6055.4561.8953.2725.3751.5360.5246.06N/A53.27
Days of Inventory outstanding
55.28105.3461.8565.5671.7474.2049.3560.5783.7348.08N/A74.20
Operating Cycle
89.28182.2797.46121.02133.64127.4774.73112.10144.2594.14N/A127.47
Days of Payables Outstanding
2.4712.833.227.7412.437.014.191.183.072.77N/A7.01
Cash Conversion Cycle
86.81169.4394.23113.28121.21120.4670.54110.92141.1891.37N/A120.46
Debt Ratios
Debt Ratio
0.980.270.330.500.560.450.540.560.500.580.600.56
Debt Equity Ratio
-13.330.550.651.331.481.121.321.411.051.511.611.48
Long-term Debt to Capitalization
1.110.340.370.550.580.450.540.560.480.580.590.58
Total Debt to Capitalization
1.080.350.390.570.590.520.560.580.510.600.610.59
Interest Coverage Ratio
0.8510.113.930.740.562.476.61N/AN/AN/A2.870.56
Cash Flow to Debt Ratio
0.050.250.290.070.020.160.280.020.150.240.170.02
Company Equity Multiplier
-13.551.991.972.632.642.442.432.492.102.582.672.64
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.450.370.190.060.290.490.080.250.470.320.06
Free Cash Flow / Operating Cash Flow Ratio
0.15-2.79-1.17-4.67-3.680.30-0.19-6.340.14-0.90-2.57-3.68
Cash Flow Coverage Ratio
0.050.250.290.070.020.160.280.020.150.240.170.02
Short Term Coverage Ratio
0.213.604.241.110.380.633.610.311.333.261.660.38
Dividend Payout Ratio
N/A25.36%140.62%-19.40%-4.59%14.06%75.66%N/A7.02%97.33%77.70%-4.59%