Invacare
Financial ratios & Valuation

Historical Multiples (2013 – 2022)

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
22.41-9.56-21.36-9.88-7.21-3.28-5.69-10.87-2.10-0.15-0.31-7.21
Price/Sales ratio
0.540.420.480.400.570.140.320.360.100.020.030.14
Price/Book Value ratio
1.100.941.201.001.300.400.980.920.260.180.300.40
Price/Cash Flow ratio
73.6760.33-104.02-7.48-21.41-3.10110.6214.03-6.70-0.27-0.52-21.41
Price/Free Cash Flow ratio
-180.49-156.17-43.36-6.34-13.67-2.56-37.32-794.97-2.99-0.25-0.49-13.67
Price/Earnings Growth ratio
0.010.030.39-0.15-0.090.07-0.260.22-0.03-0.000.01-0.09
Dividend Yield
0.21%0.29%0.28%0.37%0.29%1.13%0.54%0.13%N/AN/AN/A1.13%
Profitability Indicator Ratios
Gross Profit Margin
27.91%27.34%27.38%27.07%27.85%27.52%28.24%28.82%27.40%23.64%24.20%27.52%
Operating Profit Margin
-1.80%-2.87%-0.61%-1.45%-4.15%-1.88%-1.12%1.33%-1.69%-9.36%-7.00%-1.88%
Pretax Profit Margin
-2.83%-4.97%-1.02%-2.82%-6.85%-3.50%-4.74%-2.87%-4.48%-13.21%-9.37%-3.50%
Net Profit Margin
2.44%-4.41%-2.29%-4.09%-7.91%-4.51%-5.74%-3.32%-5.22%-13.62%-9.98%-4.51%
Effective Tax Rate
-33.02%-8.78%-125.29%-44.99%-15.53%-28.79%-21.12%-15.71%-16.47%-3.13%-6.47%-15.53%
Return on Assets
3.01%-5.81%-3.12%-4.74%-7.18%-4.95%-6.25%-2.98%-5.00%-13.10%-10.36%-4.95%
Return On Equity
4.92%-9.91%-5.65%-10.14%-18.08%-12.22%-17.28%-8.47%-12.75%-124.63%-40.53%-12.22%
Return on Capital Employed
-2.96%-5.42%-1.18%-2.22%-4.73%-2.66%-1.64%1.58%-2.23%-12.61%-10.29%-2.66%
Liquidity Ratios
Current Ratio
1.511.361.461.852.092.001.621.62N/AN/A1.322.00
Quick Ratio
0.870.820.921.231.531.351.071.120.970.840.711.35
Cash ratio
0.100.130.240.560.800.580.360.450.330.260.200.58
Days of Sales Outstanding
57.3146.0942.7040.5247.4344.9445.8846.5948.9943.2852.5447.43
Days of Inventory outstanding
58.2761.6558.4364.8163.8366.3666.0569.6283.1472.5473.8863.83
Operating Cycle
115.58107.75101.14105.34111.26111.31111.93116.21132.14115.8286.84111.31
Days of Payables Outstanding
43.6947.5246.4642.1647.4147.8948.2351.4974.9367.4058.7547.41
Cash Conversion Cycle
71.8860.2254.6763.1863.8563.4163.7064.7157.2048.4112.0063.41
Debt Ratios
Debt Ratio
0.380.020.050.300.400.370.390.410.330.610.890.40
Debt Equity Ratio
0.630.030.100.651.000.921.081.180.865.878.341.00
Long-term Debt to Capitalization
0.070.030.080.380.500.470.510.530.460.850.830.50
Total Debt to Capitalization
0.090.030.090.390.500.470.520.540.460.850.830.50
Interest Coverage Ratio
-6.94-12.01-2.41-1.26-1.20-0.500.060.31N/AN/A-2.11-0.50
Cash Flow to Debt Ratio
0.130.43-0.11-0.20-0.06-0.140.000.05-0.04-0.11-0.11-0.14
Company Equity Multiplier
1.631.701.812.132.512.462.762.832.549.509.342.51
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.000.00-0.00-0.05-0.02-0.040.000.02-0.01-0.07-0.05-0.04
Free Cash Flow / Operating Cash Flow Ratio
-0.40-0.382.391.171.561.21-2.96-0.012.231.061.071.21
Cash Flow Coverage Ratio
0.130.43-0.11-0.20-0.06-0.140.000.05-0.04-0.11-0.11-0.14
Short Term Coverage Ratio
0.719.19-2.65-3.70-12.63-22.000.291.42-4.60-8.27-5.68-12.63
Dividend Payout Ratio
4.78%-2.82%-6.06%-3.69%-2.09%-3.71%-3.08%-1.46%N/AN/AN/A-2.09%