Keurig Dr Pepper
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
19.1218.0914.7414.31
Price/Sales ratio
3.123.012.902.89
Earnings per Share (EPS)
$1.84$1.95$2.39$2.47

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
3.163.753.192.6447.5332.4733.9824.3135.1821.3719.2132.47
Price/Sales ratio
0.360.450.420.423.743.663.874.113.593.142.883.66
Price/Book Value ratio
0.971.311.261.161.231.751.882.082.011.811.751.23
Price/Cash Flow ratio
2.172.892.882.7417.2616.4618.3318.1517.8035.0826.2517.26
Price/Free Cash Flow ratio
2.613.533.573.4219.4319.3023.2221.5720.5554.9841.1019.43
Price/Earnings Growth ratio
0.190.320.220.09-0.520.506.040.39-1.040.3914.36-0.52
Dividend Yield
14.23%12.38%14.26%14.55%0.83%2.07%1.87%1.83%2.13%2.44%2.71%0.83%
Profitability Indicator Ratios
Gross Profit Margin
59.30%59.26%59.90%59.71%52.16%57.03%55.82%55.01%52.09%54.54%54.87%52.16%
Operating Profit Margin
19.27%20.66%22.25%20.74%16.62%21.38%21.34%22.81%18.53%21.54%23.28%16.62%
Pretax Profit Margin
17.52%18.84%19.92%17.53%10.62%15.23%15.08%22.06%12.22%18.61%19.58%10.62%
Net Profit Margin
11.48%12.16%13.15%16.08%7.87%11.27%11.40%16.92%10.21%14.72%15.03%7.87%
Effective Tax Rate
34.57%35.47%33.82%8.09%25.53%25.97%24.41%23.33%16.52%20.89%23.22%25.97%
Return on Assets
8.49%8.61%8.65%10.73%1.19%2.53%2.66%4.24%2.77%4.18%4.32%1.19%
Return On Equity
30.64%34.99%39.69%43.90%2.60%5.39%5.56%8.59%5.71%8.49%9.11%2.60%
Return on Capital Employed
16.30%17.81%16.39%15.80%2.86%5.52%5.89%6.56%5.95%7.38%7.83%2.86%
Liquidity Ratios
Current Ratio
1.161.142.600.900.370.350.31N/AN/AN/A0.530.37
Quick Ratio
0.971.012.410.710.260.250.210.330.300.250.350.26
Cash ratio
0.220.571.700.040.010.010.030.080.060.020.070.01
Days of Sales Outstanding
36.7936.4836.6138.7356.4036.5932.9233.0338.5337.4238.9338.93
Days of Inventory outstanding
29.8929.8128.5531.0164.1849.9654.1957.1871.2261.8972.1364.18
Operating Cycle
66.6866.2965.1669.75120.5886.5587.1290.22109.7599.32111.07111.07
Days of Payables Outstanding
42.3439.5042.8349.43235.81242.62265.99276.08282.17194.96167.28242.62
Cash Conversion Cycle
24.3326.7822.3320.31-115.22-156.06-178.87-185.85-172.42-95.64-56.20-115.22
Debt Ratios
Debt Ratio
0.300.360.440.420.320.290.270.230.230.250.280.29
Debt Equity Ratio
1.091.492.031.750.690.620.560.470.470.510.590.62
Long-term Debt to Capitalization
0.520.550.660.630.380.350.310.310.300.270.330.35
Total Debt to Capitalization
0.520.590.670.630.410.380.360.320.320.340.370.38
Interest Coverage Ratio
10.8211.099.748.462.733.634.21N/AN/AN/A6.382.73
Cash Flow to Debt Ratio
0.400.300.210.240.100.170.180.240.230.100.110.10
Company Equity Multiplier
3.604.064.584.082.172.122.082.022.062.032.112.12
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.160.150.140.150.210.220.210.220.200.080.110.22
Free Cash Flow / Operating Cash Flow Ratio
0.830.810.800.790.880.850.780.840.860.630.630.85
Cash Flow Coverage Ratio
0.400.300.210.240.100.170.180.240.230.100.110.10
Short Term Coverage Ratio
340.661.9593.913.131.101.551.049.453.160.390.671.55
Dividend Payout Ratio
45.09%46.46%45.57%38.47%39.59%67.30%63.84%44.50%75.20%52.36%51.93%39.59%