General Electric Company
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
14.3212.4911.209.83
Price/Sales ratio
2.181.982.081.95
Earnings per Share (EPS)
CHF5.65CHF6.48CHF7.22CHF8.23

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
10.44-30.9620.40-16.18-1.82144.009.77-21.85-80.0111.7839.12-1.82
Price/Sales ratio
1.071.641.500.770.330.630.701.001.091.642.950.33
Price/Book Value ratio
1.241.922.371.451.312.151.561.841.894.089.971.31
Price/Cash Flow ratio
5.749.53-738.578.989.586.9415.4922.2810.7621.5727.019.58
Price/Free Cash Flow ratio
11.3715.07-24.2137.36-10.6822.75287.3237.6613.4331.1733.64-10.68
Price/Earnings Growth ratio
1.020.21-0.090.08-0.00-1.410.000.131.04-0.0048.64-0.00
Dividend Yield
5.56%4.9%4.88%9.23%10.99%1.06%1.16%0.77%1.00%0.52%0.49%1.06%
Profitability Indicator Ratios
Gross Profit Margin
44.98%28.19%26.90%23.68%23.79%26.45%24.11%27.36%23.79%25.84%28.13%23.79%
Operating Profit Margin
37.13%12.64%11.73%7.25%8.18%1.33%5.23%5.37%3.19%9.42%12.21%8.18%
Pretax Profit Margin
11.65%7.10%7.54%-7.29%-16.55%1.20%6.52%-4.96%-1.37%14.99%9.08%-16.55%
Net Profit Margin
10.30%-5.31%7.37%-4.80%-18.38%0.44%7.16%-4.57%-1.37%13.95%7.66%-18.38%
Effective Tax Rate
10.28%79.22%-5.13%34.61%-2.89%63.18%-9.12%7.76%0.37%11.40%17.82%-2.89%
Return on Assets
2.34%-1.24%2.41%-1.53%-7.23%0.15%2.25%-1.70%-0.42%5.81%3.85%-7.23%
Return On Equity
11.88%-6.23%11.65%-9.00%-72.11%1.49%16.04%-8.42%-2.36%34.63%18.15%-72.11%
Return on Capital Employed
8.51%4.95%6.15%2.91%5.01%0.73%2.11%2.71%1.33%5.71%8.35%5.01%
Liquidity Ratios
Current Ratio
2.201.922.001.931.821.831.71N/AN/AN/A1.141.83
Quick Ratio
115.410.720.951.610.881.231.290.970.870.850.851.23
Cash ratio
40.610.510.670.540.620.910.650.300.310.330.360.91
Days of Sales Outstanding
106.04145.34128.88123.7588.4976.28105.40102.94111.5493.6365.3776.28
Days of Inventory outstanding
79.4599.3193.4587.0376.0173.4995.99107.32122.76119.7177.6776.01
Operating Cycle
185.49244.65222.34210.79164.51149.77201.39210.26234.31213.34143.04149.77
Days of Payables Outstanding
54.1660.3860.2260.2354.4590.4699.42110.0082.7177.3550.9490.46
Cash Conversion Cycle
131.32184.27162.11150.56110.0559.30101.97100.26151.59135.9992.0959.30
Debt Ratios
Debt Ratio
0.670.400.370.350.350.340.290.100.120.120.150.34
Debt Equity Ratio
3.402.011.792.093.533.212.100.500.710.761.053.21
Long-term Debt to Capitalization
0.740.600.580.630.750.700.660.300.370.410.490.70
Total Debt to Capitalization
0.770.660.640.670.770.760.670.330.410.430.510.76
Interest Coverage Ratio
5.784.202.791.791.961.280.49N/AN/AN/A6.821.96
Cash Flow to Debt Ratio
0.060.10-0.000.070.030.090.040.160.240.240.340.03
Company Equity Multiplier
5.055.014.815.889.979.397.124.935.605.956.629.39
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.180.17-0.000.080.030.090.040.040.100.070.110.03
Free Cash Flow / Operating Cash Flow Ratio
0.500.6330.500.24-0.890.300.050.590.800.690.79-0.89
Cash Flow Coverage Ratio
0.060.10-0.000.070.030.090.040.160.240.240.340.03
Short Term Coverage Ratio
0.380.39-0.000.430.330.370.761.111.584.134.030.33
Dividend Payout Ratio
58.10%-151.73%99.71%-149.49%-20.01%153.42%11.36%-16.92%-80.27%6.21%13.34%-20.01%