Implenia AG
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
4.233.91
Price/Sales ratio
0.100.10
Earnings per Share (EPS)
CHF4.98CHF5.39

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
13.5617.7221.9933.69-122.7821.62-3.366.266.693.964.17-122.78
Price/Sales ratio
0.320.260.400.310.140.140.110.100.190.150.150.14
Price/Book Value ratio
1.521.412.041.901.101.131.591.141.470.980.941.13
Price/Cash Flow ratio
8.035.9021.076.1038.694.46-2.74-5.535.47-18.403.834.46
Price/Free Cash Flow ratio
14.109.76437.559.22-10.089.85-1.99-3.297.84-6.207.24-10.08
Price/Earnings Growth ratio
-1.63-0.590.92-0.831.08-0.020.00-0.040.090.110.040.04
Dividend Yield
3.12%3.83%2.64%3.03%5.89%1.43%3.12%N/AN/A1.31%1.94%1.43%
Profitability Indicator Ratios
Gross Profit Margin
36.82%37.38%38.59%36.97%33.76%35.42%31.80%40.00%40.34%40.75%24.99%35.42%
Operating Profit Margin
3.71%2.43%2.99%1.64%0.29%1.43%-6.52%2.81%4.00%9.08%7.49%0.29%
Pretax Profit Margin
3.43%2.12%2.62%1.36%0.01%1%-4.10%2.40%3.45%3.09%2.58%0.01%
Net Profit Margin
2.37%1.47%1.83%0.92%-0.11%0.66%-3.31%1.62%2.93%3.92%3.74%-0.11%
Effective Tax Rate
27.18%25.50%24.97%25.92%23.98%23.44%19.35%29.32%13.97%-27.51%-28.26%23.44%
Return on Assets
2.93%1.77%2.27%1.23%-0.17%0.96%-4.48%2.04%3.80%4.85%4.42%-0.17%
Return On Equity
11.24%7.99%9.27%5.65%-0.90%5.26%-47.37%18.31%21.99%24.80%23.22%-0.90%
Return on Capital Employed
10.46%7.50%8.24%4.96%1.08%4.93%-25.31%9.64%12.36%27.97%20.21%1.08%
Liquidity Ratios
Current Ratio
1.471.291.431.351.281.231.01N/AN/AN/A1.091.23
Quick Ratio
1.040.961.051.030.910.860.900.981.000.951.050.91
Cash ratio
0.550.520.540.600.540.500.370.320.380.270.120.50
Days of Sales Outstanding
105.5998.97102.7180.5679.2377.3384.52N/A90.3291.73107.1279.23
Days of Inventory outstanding
110.3196.38100.0577.8577.8785.4630.0436.8638.4313.3310.7085.46
Operating Cycle
215.90195.36202.77158.42157.10162.80114.5636.86128.76105.06117.83162.80
Days of Payables Outstanding
72.9569.8075.5255.9146.79121.54125.50109.79119.45127.6399.1546.79
Cash Conversion Cycle
142.94125.55127.25102.51110.3141.25-10.93-72.929.30-22.5618.6741.25
Debt Ratios
Debt Ratio
0.130.170.150.160.180.170.190.230.160.140.200.18
Debt Equity Ratio
0.530.800.630.770.920.952.002.080.950.741.060.92
Long-term Debt to Capitalization
0.340.310.380.430.460.460.630.600.470.280.410.46
Total Debt to Capitalization
0.340.440.380.430.470.480.660.670.480.420.510.47
Interest Coverage Ratio
12.616.598.986.130.853.93-15.76N/AN/AN/A11.020.85
Cash Flow to Debt Ratio
0.350.290.150.400.030.26-0.28-0.090.28-0.070.230.03
Company Equity Multiplier
3.824.504.074.575.105.4710.558.945.785.115.145.10
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.040.040.010.050.000.03-0.04-0.010.03-0.000.040.00
Free Cash Flow / Operating Cash Flow Ratio
0.560.600.040.66-3.830.451.371.680.692.960.53-3.83
Cash Flow Coverage Ratio
0.350.290.150.400.030.26-0.28-0.090.28-0.070.230.03
Short Term Coverage Ratio
35.360.71671.27142.900.732.97-2.31-0.375.56-0.150.712.97
Dividend Payout Ratio
42.43%68.06%58.06%102.32%-723.85%31.03%-10.48%N/AN/A5.20%8.1%-723.85%