HeidelbergCement AG
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
9.228.407.80
Price/Sales ratio
N/AN/AN/A
Earnings per Share (EPS)
$2.68$2.94$3.17

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
22.4318.0025.9719.539.242.34-1.251.321.251.461.772.34
Price/Sales ratio
0.861.061.121.030.580.130.130.120.090.130.820.58
Price/Book Value ratio
0.820.961.061.230.680.150.180.150.120.160.240.24
Price/Cash Flow ratio
7.369.939.108.795.370.960.800.970.820.881.331.33
Price/Free Cash Flow ratio
20.2326.5920.4517.8711.641.721.172.391.841.5110.5510.55
Price/Earnings Growth ratio
-0.650.28-1.290.550.360.000.00-0.00-0.240.040.000.00
Dividend Yield
1.03%0.97%1.43%1.77%3.56%16.27%4.91%18.67%22.93%17.09%2.90%16.27%
Profitability Indicator Ratios
Gross Profit Margin
58.04%59.56%61.35%60.99%59.05%60.22%62.94%61.43%58.92%62.08%54.23%60.22%
Operating Profit Margin
12.64%13.71%13.08%12.67%10.97%11.59%-2.45%13.96%11.73%14.21%14.01%10.97%
Pretax Profit Margin
7.37%9.75%7.94%9.93%9.76%8.66%-9.10%15.45%10.51%13.40%12.73%9.76%
Net Profit Margin
3.85%5.94%4.33%5.31%6.32%5.78%-11.00%9.39%7.56%9.07%9.28%6.32%
Effective Tax Rate
6.92%22.42%25.32%35.35%26.30%21.94%-20.87%32.71%21.87%23.11%23.85%21.94%
Return on Assets
1.72%2.81%1.76%2.65%3.19%2.82%-5.99%5.21%4.80%5.43%6.85%3.19%
Return On Equity
3.69%5.36%4.08%6.30%7.40%6.42%-14.59%11.39%9.65%11.18%13.94%7.40%
Return on Capital Employed
6.97%7.85%6.58%7.74%6.72%7.00%-1.63%9.80%9.13%10.76%13.08%6.72%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A1.11N/A
Quick Ratio
0.810.670.660.760.870.830.910.840.720.830.740.83
Cash ratio
0.230.270.280.330.410.470.480.430.220.440.240.47
Days of Sales Outstanding
30.5932.9243.4338.0036.9834.4233.2036.5735.9935.1936.6136.61
Days of Inventory outstanding
94.3595.07127.20101.1199.84104.65109.77110.90111.32120.9383.73104.65
Operating Cycle
124.94128.00170.63139.11136.83139.08142.97147.48147.32156.12120.34139.08
Days of Payables Outstanding
96.4497.25135.68123.64128.49130.94146.07160.81140.82142.9588.62130.94
Cash Conversion Cycle
28.5030.7534.9515.478.348.14-3.09-13.336.5013.1731.718.34
Debt Ratios
Debt Ratio
0.290.230.290.310.300.270.270.210.160.210.240.27
Debt Equity Ratio
0.620.440.680.740.710.630.660.460.340.430.490.63
Long-term Debt to Capitalization
0.300.240.340.370.380.330.370.260.240.240.250.33
Total Debt to Capitalization
0.380.300.400.420.410.380.390.310.250.300.330.38
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A15.18N/A
Cash Flow to Debt Ratio
0.180.210.170.180.170.240.340.330.420.420.370.17
Company Equity Multiplier
2.131.902.302.372.312.272.432.182.012.052.012.27
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.110.100.120.110.100.140.170.120.110.150.120.10
Free Cash Flow / Operating Cash Flow Ratio
0.360.370.440.490.460.550.670.400.440.580.630.46
Cash Flow Coverage Ratio
0.180.210.170.180.170.240.340.330.420.420.370.17
Short Term Coverage Ratio
0.630.770.741.051.341.183.291.607.771.631.301.18
Dividend Payout Ratio
23.16%17.61%37.18%34.59%32.98%38.19%-6.14%24.81%28.70%25.09%22.52%38.19%