Gauzy Ltd. Ordinary Shares
Financial ratios & Valuation

Historical Multiples (2020 – 2023)

2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-25.15-18.20-8.26-3.95N/A-13.23
Price/Sales ratio
66.1142.866.394.01N/A24.62
Price/Book Value ratio
28.14216.9139.52-4.72N/A128.22
Price/Cash Flow ratio
-29.46-24.82-10.53-10.07N/A-17.67
Price/Free Cash Flow ratio
-26.40-21.83-9.37-7.54N/A-15.60
Price/Earnings Growth ratio
N/A-0.47-0.06-0.03N/A-0.27
Dividend Yield
N/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
29.78%27.66%12.18%20.87%N/A19.92%
Operating Profit Margin
-226.11%-195.44%-60.75%-40.07%N/A-128.09%
Pretax Profit Margin
-261.94%-233.60%-77.21%-101.41%N/A-155.40%
Net Profit Margin
-262.85%-235.53%-77.30%-101.65%N/A-156.41%
Effective Tax Rate
-0.34%-0.82%-0.11%-0.23%N/A-0.47%
Return on Assets
-55.31%-78.25%-34.60%-61.95%N/A-56.42%
Return On Equity
-111.89%-1191.83%-477.96%119.46%N/A-834.90%
Return on Capital Employed
-77.81%-366.06%-51.08%-49.55%N/A-208.57%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/A
Quick Ratio
1.120.210.490.51N/A0.35
Cash ratio
0.900.100.090.07N/A0.09
Days of Sales Outstanding
108.0977.32101.9292.07N/A89.62
Days of Inventory outstanding
102.07105.8689.3477.92N/A97.60
Operating Cycle
210.16183.18191.27170.00N/A187.22
Days of Payables Outstanding
168.41170.3199.4282.75N/A134.87
Cash Conversion Cycle
41.7512.8691.8487.25N/A52.35
Debt Ratios
Debt Ratio
0.230.330.490.96N/A0.41
Debt Equity Ratio
0.485.096.83-1.85N/A5.96
Long-term Debt to Capitalization
0.090.260.803.34N/A0.53
Total Debt to Capitalization
0.320.830.872.16N/A0.85
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
-1.98-1.71-0.54-0.25N/A-1.13
Company Equity Multiplier
2.0215.2313.81-1.92N/A14.52
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-2.24-1.72-0.60-0.39N/A-1.16
Free Cash Flow / Operating Cash Flow Ratio
1.111.131.121.33N/A1.13
Cash Flow Coverage Ratio
-1.98-1.71-0.54-0.25N/A-1.13
Short Term Coverage Ratio
-2.50-1.84-1.43-1.09N/A-1.64
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/A