Franklin Street Properties Corp.
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
-5.25-5.09
Price/Sales ratio
1.421.41
Earnings per Share (EPS)
$-0.32$-0.33

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
93.4929.61159.08-72.2351.11141.7614.376.84257.87-5.49-4.79141.76
Price/Sales ratio
4.924.255.334.222.483.411.903.031.701.811.523.41
Price/Book Value ratio
1.251.101.381.320.791.160.610.810.360.370.291.16
Price/Cash Flow ratio
11.9110.0714.1212.008.3211.206.8517.4518.5114.8014.918.32
Price/Free Cash Flow ratio
14.52243.81-6.1727.6622.9282.18-49.51-22.29-7.11-19.21-16.7482.18
Price/Earnings Growth ratio
-2.450.17-2.060.25-0.28-2.850.030.03-2.610.000.16-0.28
Dividend Yield
6.19%7.34%5.81%7.07%7.38%4.20%8.23%6.06%19.13%1.56%2.12%4.20%
Profitability Indicator Ratios
Gross Profit Margin
60.39%58.76%57.79%57.05%56.64%55.33%53.08%51.30%47.20%46.51%27.07%55.33%
Operating Profit Margin
5.79%15.26%14.56%13.64%19.26%16.16%10.96%6.19%0.29%-0.67%-1.94%16.16%
Pretax Profit Margin
5.46%14.53%3.52%-5.70%4.99%2.50%13.36%44.39%0.78%-32.82%-31.57%2.50%
Net Profit Margin
5.26%14.35%3.35%-5.84%4.86%2.40%13.26%44.28%0.66%-33.01%-31.75%2.40%
Effective Tax Rate
3.64%1.22%4.75%-2.57%2.68%3.98%0.76%0.68%15.71%-0.58%-0.56%3.98%
Return on Assets
0.67%1.82%0.40%-0.80%0.68%0.35%1.81%6.79%0.08%-4.11%-4.13%0.35%
Return On Equity
1.34%3.74%0.87%-1.82%1.56%0.82%4.24%11.83%0.14%-6.74%-5.87%0.82%
Return on Capital Employed
0.76%1.98%1.79%1.92%2.81%2.44%1.56%1.01%0.04%-0.09%-0.26%2.44%
Liquidity Ratios
Current Ratio
3.853.962.692.392.531.631.47N/AN/AN/A3.502.53
Quick Ratio
3.923.982.922.622.781.671.471.331.701.513.502.78
Cash ratio
0.170.360.160.160.180.140.030.450.130.781.240.18
Days of Sales Outstanding
75.6576.9378.9375.40174.58124.43112.00130.71164.63106.68113.50124.43
Days of Inventory outstanding
-11.14-4.10-44.66-43.42-46.23-9.170.000.00-18.19N/AN/A-46.23
Operating Cycle
64.5072.8234.2731.98128.34115.26112.00130.71146.44106.68113.50115.26
Days of Payables Outstanding
157.09179.64198.14190.33185.32202.44228.05320.42210.24196.14N/A202.44
Cash Conversion Cycle
-92.58-106.82-163.87-158.34-56.97-87.18-116.04-189.70-63.79-89.45113.50-56.97
Debt Ratios
Debt Ratio
0.450.470.500.520.520.520.510.340.330.340.270.52
Debt Equity Ratio
0.900.971.081.191.171.231.190.600.530.560.411.23
Long-term Debt to Capitalization
0.470.490.520.540.540.550.490.370.340.280.290.55
Total Debt to Capitalization
0.470.490.520.540.540.550.540.370.340.360.290.55
Interest Coverage Ratio
1.521.521.401.251.171.180.74N/AN/AN/A-0.081.18
Cash Flow to Debt Ratio
0.110.110.090.090.080.080.070.070.030.040.040.08
Company Equity Multiplier
1.972.052.172.282.262.342.331.741.611.641.472.34
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.410.420.370.350.290.300.270.170.090.120.100.30
Free Cash Flow / Operating Cash Flow Ratio
0.820.04-2.280.430.360.13-0.13-0.78-2.60-0.77-0.890.13
Cash Flow Coverage Ratio
0.110.110.090.090.080.080.070.070.030.040.040.08
Short Term Coverage Ratio
N/AN/AN/AN/AN/AN/A0.44N/AN/A0.15N/AN/A
Dividend Payout Ratio
579.11%217.46%924.81%-511.13%377.42%596.18%118.43%41.51%4934.91%-8.59%-10.18%596.18%