Glatfelter
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
N/A
Price/Sales ratio
N/A
Earnings per Share (EPS)
N/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
207.38161.10627.621.53K-31.26-416.44443.301.43K-8.34-14.37-1.64-31.26
Price/Sales ratio
7.936.248.397.616.4111.3110.309.181.080.820.1011.31
Price/Book Value ratio
22.1215.6820.6917.1410.3018.8816.3318.355.094.420.5218.88
Price/Cash Flow ratio
144.2177.78116.50116.57-933.01102.0986.62140.34-39.68-44.361.48-933.01
Price/Free Cash Flow ratio
428.27307.29-307.11-433.44-115.49139.85116.76243.32-20.62-19.132.18-115.49
Price/Earnings Growth ratio
80.87-23.43-9.35-24.270.014.84-2.40-21.540.000.24-0.114.84
Dividend Yield
0.13%0.19%0.15%0.18%0.40%0.21%0.24%0.24%1.15%N/A3.86%0.40%
Profitability Indicator Ratios
Gross Profit Margin
12.98%12.17%13.56%12.05%15.05%15.90%16.13%13.88%9.97%9.36%10.30%15.90%
Operating Profit Margin
5.89%5.78%1.71%3.63%2.53%-2.84%5.36%1.93%1.11%0.19%0.40%-2.84%
Pretax Profit Margin
4.82%4.71%0.67%2.46%0.83%-3.71%3.53%1.26%-13.70%-5.13%-5.96%-3.71%
Net Profit Margin
3.82%3.87%1.33%0.49%-20.50%-2.71%2.32%0.63%-13.01%-5.70%-6.65%-20.50%
Effective Tax Rate
20.75%17.81%-99.46%79.88%106.15%26.82%35.77%50.85%5.02%-9.86%-11.48%26.82%
Return on Assets
4.43%4.29%1.41%0.45%-13.25%-1.96%1.65%0.36%-11.78%-5.05%-5.99%-13.25%
Return On Equity
10.66%9.73%3.29%1.11%-32.95%-4.53%3.68%1.27%-61.04%-30.77%-29.55%-32.95%
Return on Capital Employed
8.33%8.03%2.31%4.19%1.98%-2.50%4.66%1.39%1.28%0.21%0.44%-2.50%
Liquidity Ratios
Current Ratio
2.051.811.531.682.012.071.94N/AN/AN/A2.202.01
Quick Ratio
1.161.000.750.951.271.241.100.961.021.090.921.24
Cash ratio
0.350.340.170.330.610.540.420.370.300.190.280.54
Days of Sales Outstanding
33.0136.6134.6625.2850.4648.9648.9157.2747.8845.0448.3048.96
Days of Inventory outstanding
57.6261.6465.4565.5386.0189.0893.18109.2284.1286.6887.9186.01
Operating Cycle
90.6498.25100.1190.81136.47138.05142.09166.50132.01131.7299.82138.05
Days of Payables Outstanding
36.3943.0743.0829.4359.8657.1760.5483.6259.1646.0553.7257.17
Cash Conversion Cycle
54.2555.1857.0361.3876.6080.8781.5482.8772.8485.6716.2580.87
Debt Ratios
Debt Ratio
0.250.230.240.270.300.280.240.410.510.550.810.30
Debt Equity Ratio
0.620.540.560.670.760.640.541.452.653.342.760.76
Long-term Debt to Capitalization
0.380.340.350.390.420.370.330.570.710.760.730.42
Total Debt to Capitalization
0.380.350.360.400.430.390.350.590.720.770.730.43
Interest Coverage Ratio
5.384.301.763.271.195.056.81N/AN/AN/A0.155.05
Cash Flow to Debt Ratio
0.240.370.310.21-0.010.280.340.09-0.04-0.020.12-0.01
Company Equity Multiplier
2.402.262.322.442.482.302.223.465.186.085.282.48
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.050.080.070.06-0.000.110.110.06-0.02-0.010.07-0.00
Free Cash Flow / Operating Cash Flow Ratio
0.330.25-0.37-0.268.070.730.740.571.922.310.680.73
Cash Flow Coverage Ratio
0.240.370.310.21-0.010.280.340.09-0.04-0.020.12-0.01
Short Term Coverage Ratio
17.3618.1512.959.22-0.554.484.341.44-0.78-3.588.98-0.55
Dividend Payout Ratio
26.99%31.65%100.16%284.05%-12.81%-90.97%110.30%352.57%-9.66%N/A-12.65%-12.81%