IRSA Propiedades Comerciales S.A.
Financial ratios & Valuation

Historical Multiples (2012 – 2021)

2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 TTM Median
Valuation Ratios
Price/Earnings ratio
520.315.2270.0467.7695.2439.278.01-6.583.54-26.86-0.8139.27
Price/Sales ratio
184.681.0512.4914.2820.1525.6220.3511.675.1953.552.4025.62
Price/Book Value ratio
206.002.0332.4641.1052.155.783.313.080.848.130.395.78
Price/Cash Flow ratio
273.472.6328.6531.3276.7444.5433.4130.3612.39459.654.5944.54
Price/Free Cash Flow ratio
337.202.6629.0831.9977.9245.4833.9531.9412.90555.914.8045.48
Price/Earnings Growth ratio
40.53-67.954.881.252.350.130.020.03-0.010.200.000.13
Dividend Yield
0.14%17.83%1.53%0.37%0.04%0.03%0.56%0.59%1.20%0.43%N/A0.03%
Profitability Indicator Ratios
Gross Profit Margin
79.36%54.20%54.74%57.10%56.45%61.98%64.03%66.39%64.86%59.81%62.12%56.45%
Operating Profit Margin
64.63%44.07%45.02%48.88%50.13%112.48%332.56%-203.85%262.82%-96.47%-255.47%112.48%
Pretax Profit Margin
55.59%32.35%30.15%33.04%31.25%99.79%267.97%-220.56%201.56%-81.35%-249.84%99.79%
Net Profit Margin
35.49%20.15%17.84%21.07%21.16%65.24%253.81%-177.30%146.41%-199.33%-294.94%65.24%
Effective Tax Rate
33.44%33.73%35.57%31.90%24.40%32.26%1.79%19.14%22.84%-151.78%-23.70%32.26%
Return on Assets
13.17%10.80%10.78%9.16%8.78%7.68%22.28%-22.26%11.82%-12.36%-20.35%7.68%
Return On Equity
39.59%38.88%46.34%60.65%54.75%14.72%41.29%-46.91%23.90%-30.26%-48.97%14.72%
Return on Capital Employed
30.82%33.57%40.00%27.91%25.87%13.83%30.32%-26.94%23.95%-6.46%-18.86%13.83%
Liquidity Ratios
Current Ratio
0.911.061.140.942.252.504.274.230.521.721.882.50
Quick Ratio
0.890.951.130.922.242.494.264.220.901.721.882.49
Cash ratio
0.180.240.100.200.011.001.451.030.280.060.080.01
Days of Sales Outstanding
136.15105.75142.3589.16202.3378.38111.00246.85124.40454.73298.43202.33
Days of Inventory outstanding
14.758.214.425.703.954.364.283.204.063.793.664.36
Operating Cycle
150.90113.97146.7794.87206.2982.75115.28250.05128.46458.5277.2582.75
Days of Payables Outstanding
176.24163.31130.54155.69137.24156.42319.12268.50316.97328.18337.02137.24
Cash Conversion Cycle
-25.34-49.3416.23-60.8169.04-73.67-203.83-18.44-188.51130.34-37.68-73.67
Debt Ratios
Debt Ratio
0.600.660.430.590.630.140.230.290.270.240.550.55
Debt Equity Ratio
1.822.401.873.953.950.270.420.610.550.601.331.33
Long-term Debt to Capitalization
0.450.490.560.770.770.210.290.360.270.330.320.21
Total Debt to Capitalization
0.480.580.650.790.790.210.290.370.350.370.350.21
Interest Coverage Ratio
7.509.327.694.172.943.993.402.621.690.68-6.173.99
Cash Flow to Debt Ratio
0.790.540.600.330.170.460.230.160.120.020.150.46
Company Equity Multiplier
3.003.594.296.626.231.911.852.102.022.442.412.41
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.670.390.430.450.260.570.600.380.410.110.520.26
Free Cash Flow / Operating Cash Flow Ratio
0.810.980.980.970.980.970.980.950.960.820.950.97
Cash Flow Coverage Ratio
0.790.540.600.330.170.460.230.160.120.020.150.46
Short Term Coverage Ratio
7.581.831.922.661.6111.5011.863.100.380.161.0411.50
Dividend Payout Ratio
76.99%93.17%107.67%25.55%4.53%1.50%4.50%-3.90%4.27%-11.79%N/A1.50%