Compagnie de Saint-Gobain S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
9.869.138.65
Price/Sales ratio
0.730.700.68
Earnings per Share (EPS)
CHF6.54CHF7.06CHF7.45

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.6616.7118.9316.2937.8913.8438.8312.9710.9011.8214.8414.84
Price/Sales ratio
0.470.540.630.620.380.450.460.740.630.650.890.38
Price/Book Value ratio
1.091.141.321.380.881.000.981.571.441.351.780.88
Price/Cash Flow ratio
14.448.2912.639.226.385.113.757.365.735.237.296.38
Price/Free Cash Flow ratio
-96.0519.0855.9024.4630.089.805.0910.988.647.7610.809.80
Price/Earnings Growth ratio
0.370.487.250.81-0.520.05-0.570.020.49-1.133.77-0.52
Dividend Yield
3.47%3.21%2.73%2.71%4.44%3.67%N/A2.13%2.54%3.20%2.48%3.67%
Profitability Indicator Ratios
Gross Profit Margin
24.30%25.05%25.54%25.45%25.37%25.49%24.89%26.53%25.76%26.77%27.25%25.37%
Operating Profit Margin
6.81%6.65%7.20%7.41%7.47%7.96%7.48%10.20%10.42%8.82%9.94%7.47%
Pretax Profit Margin
3.68%1.66%4.52%5.05%2.36%4.89%2.66%8.00%8.17%7.95%8.53%2.36%
Net Profit Margin
2.32%3.26%3.35%3.83%1.00%3.30%1.19%5.70%5.86%5.56%6.19%1.00%
Effective Tax Rate
33.90%37.51%23.52%21.23%49.64%30.26%51.82%26.01%25.86%27.77%25.20%30.26%
Return on Assets
2.12%2.88%2.99%3.64%0.95%2.81%0.93%4.88%5.42%4.65%4.84%0.95%
Return On Equity
5.29%6.83%6.98%8.47%2.34%7.24%2.54%12.16%13.22%11.46%12.19%2.34%
Return on Capital Employed
8.53%8.17%8.99%9.79%9.90%9.20%8.20%12.37%14.03%10.39%10.76%9.90%
Liquidity Ratios
Current Ratio
1.341.391.321.331.311.351.45N/AN/AN/A1.411.31
Quick Ratio
0.820.930.850.830.810.881.060.920.810.930.980.81
Cash ratio
0.290.420.300.270.210.370.600.450.350.510.490.21
Days of Sales Outstanding
43.7643.7646.0745.9143.3941.2644.0042.1836.9138.7947.9043.39
Days of Inventory outstanding
73.9070.2473.6772.4873.2071.3468.3474.2369.3270.8275.6773.20
Operating Cycle
117.67114.01119.75118.40116.60112.61112.35116.42106.24109.62123.57116.60
Days of Payables Outstanding
71.2070.2672.7972.3172.0169.0475.1677.6669.7870.7574.2172.01
Cash Conversion Cycle
46.4743.7546.9546.0844.5943.5637.1838.7536.4638.8649.3644.59
Debt Ratios
Debt Ratio
0.230.220.210.210.240.240.250.210.200.210.240.24
Debt Equity Ratio
0.590.530.490.490.600.630.700.530.500.540.600.60
Long-term Debt to Capitalization
0.320.270.270.290.330.340.360.300.280.300.330.34
Total Debt to Capitalization
0.370.340.330.330.370.380.410.340.330.350.370.37
Interest Coverage Ratio
3.082.893.474.554.934.614.93N/AN/AN/AN/A4.61
Cash Flow to Debt Ratio
0.120.250.200.300.230.310.370.400.490.470.400.23
Company Equity Multiplier
2.482.362.332.322.452.572.712.492.432.462.472.45
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.030.060.050.060.050.080.120.100.110.120.120.05
Free Cash Flow / Operating Cash Flow Ratio
-0.150.430.220.370.210.520.730.670.660.670.650.21
Cash Flow Coverage Ratio
0.120.250.200.300.230.310.370.400.490.470.400.23
Short Term Coverage Ratio
0.680.900.811.801.511.922.002.352.302.792.201.51
Dividend Payout Ratio
71.87%53.66%51.86%44.25%168.33%50.92%N/A27.64%27.73%37.95%36.40%50.92%