Jack in the Box
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

202520252026202620272028
Price/Earnings ratio
2.662.522.372.241.931.72
Price/Sales ratio
0.250.240.250.240.240.23
Earnings per Share (EPS)
$7.13$7.51$8.01$8.48$9.85$11.01

Historical Multiples (2015 – 2024)

2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 TTM Median
Valuation Ratios
Price/Earnings ratio
26.7225.8722.7619.4724.9120.8113.4013.2910.72-25.94-22.4320.81
Price/Sales ratio
1.882.001.982.712.471.821.941.040.820.740.501.82
Price/Book Value ratio
182.29-14.78-7.94-3.99-3.19-2.35-2.71-2.09-1.95-1.07-0.96-3.19
Price/Cash Flow ratio
12.8123.9217.9321.7113.9713.0111.049.456.52N/A11.9613.01
Price/Free Cash Flow ratio
20.6785.4729.5130.8919.4815.0613.8713.2210.01N/A-17.1015.06
Price/Earnings Growth ratio
0.820.941.13-5.38-1.763.460.14-0.500.650.200.40-1.76
Dividend Yield
1.28%1.25%1.58%1.92%1.75%1.47%1.67%2.40%2.55%N/A4.15%1.75%
Profitability Indicator Ratios
Gross Profit Margin
28.12%28.23%26.96%42.53%36.29%34.70%35.98%29.51%76.78%74.56%27.69%34.70%
Operating Profit Margin
12.80%14.37%17.12%26.63%21.28%17.53%25.35%16.91%16.47%2.57%16.46%17.53%
Pretax Profit Margin
11.58%12.43%14.13%21.39%12.18%11.95%19.37%11.02%11.18%-2.89%-0.27%11.95%
Net Profit Margin
7.06%7.75%8.70%13.95%9.93%8.78%14.49%7.88%7.73%-2.89%-2.33%8.78%
Effective Tax Rate
36.87%36.49%37.02%43.92%20.75%26.79%25.20%28.48%30.90%N/A-748.83%26.79%
Return on Assets
8.34%9.19%11.01%14.74%9.85%4.70%9.47%3.96%4.35%-1.29%-1.34%4.70%
Return On Equity
682.07%-57.12%-34.87%-20.51%-12.80%-11.31%-20.26%-15.72%-18.21%4.14%4.72%-12.80%
Return on Capital Employed
18.34%21.50%27.53%36.20%25.26%11.43%20.40%10.34%11.41%1.36%11.23%11.43%
Liquidity Ratios
Current Ratio
0.640.550.530.511.430.98N/AN/AN/AN/A0.410.98
Quick Ratio
0.610.520.500.501.420.980.500.530.570.400.400.98
Cash ratio
0.070.060.020.010.790.580.160.200.280.050.050.58
Days of Sales Outstanding
11.3616.7416.1324.0917.3728.0123.7225.8021.4924.9619.4117.37
Days of Inventory outstanding
2.432.612.131.351.070.981.161.853.614.601.261.07
Operating Cycle
13.8019.3518.2725.4518.4429.0024.8827.6625.1129.5620.6718.44
Days of Payables Outstanding
10.5912.9511.9932.8422.3517.0214.5123.3778.9381.6022.3217.02
Cash Conversion Cycle
3.206.406.27-7.38-3.9011.9810.364.28-53.81-52.04-1.65-3.90
Debt Ratios
Debt Ratio
0.540.730.931.291.331.221.271.081.050.630.631.22
Debt Equity Ratio
44.83-4.58-2.95-1.80-1.72-2.94-2.73-4.30-4.40-2.03-2.03-2.03
Long-term Debt to Capitalization
0.971.301.562.322.371.581.641.331.312.002.002.00
Total Debt to Capitalization
0.971.271.512.232.371.511.571.301.291.961.961.96
Interest Coverage Ratio
10.287.315.264.352.353.27N/AN/AN/AN/A3.142.35
Cash Flow to Debt Ratio
0.310.130.150.100.130.060.090.050.06N/A0.030.06
Company Equity Multiplier
81.73-6.20-3.16-1.39-1.29-2.40-2.13-3.96-4.17-3.21-3.21-2.40
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.080.110.120.170.140.170.110.12N/A0.040.14
Free Cash Flow / Operating Cash Flow Ratio
0.610.270.600.700.710.860.790.710.65N/A-0.670.86
Cash Flow Coverage Ratio
0.310.130.150.100.130.060.090.050.06N/A0.030.06
Short Term Coverage Ratio
8.502.332.663.42217.570.791.320.801.24N/A1.911.91
Dividend Payout Ratio
34.36%32.47%36.15%37.41%43.60%30.67%22.51%31.94%27.43%N/A-92.57%30.67%