Kimberly-Clark
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
18.7117.5616.0815.65
Price/Sales ratio
2.162.102.052.03
Earnings per Share (EPS)
$7.12$7.58$8.28$8.51

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
28.3545.7118.9318.7228.1221.9119.5326.5723.6823.3216.9721.91
Price/Sales ratio
2.192.492.252.332.142.562.402.472.272.012.182.14
Price/Book Value ratio
59.35-266.15-402.1067.83-138.15-1.43K73.3893.7883.7344.9634.43-138.15
Price/Cash Flow ratio
15.2020.0812.6914.5613.3517.2712.3117.6516.7511.6112.1817.27
Price/Free Cash Flow ratio
23.9537.0416.6619.8918.9430.9518.2827.9724.6614.8215.1430.95
Price/Earnings Growth ratio
-1.04-1.440.162.75-0.750.391.97-1.203.64-2.56-14.760.39
Dividend Yield
2.90%2.74%3.19%3.18%3.49%2.97%3.15%3.14%3.40%3.85%3.70%3.49%
Profitability Indicator Ratios
Gross Profit Margin
33.88%35.63%36.53%35.88%30.27%32.71%35.64%30.80%30.82%34.41%36.02%30.27%
Operating Profit Margin
12.78%8.67%18.22%18.06%12.05%16.21%16.94%13.17%13.28%11.47%17.11%12.05%
Pretax Profit Margin
11.43%7.18%16.53%16.38%9.80%14.36%15.30%11.44%11.59%9.89%15.23%9.80%
Net Profit Margin
7.73%5.44%11.89%12.47%7.62%11.69%12.28%9.33%9.58%8.63%12.97%7.62%
Effective Tax Rate
37.96%31.31%30.64%25.94%25.97%21.73%23.07%21.52%21.15%22.41%21.19%21.73%
Return on Assets
9.82%6.82%14.83%15.03%9.71%14.11%13.42%10.16%10.76%10.17%15.18%9.71%
Return On Equity
209.32%-582.18%-2123.52%362.16%-491.28%-6536.36%375.71%352.91%353.56%192.78%238.08%-491.28%
Return on Capital Employed
27.10%18.99%37.88%35.49%27.92%35.76%29.27%23.09%25.20%22.50%34.06%27.92%
Liquidity Ratios
Current Ratio
0.890.850.870.880.770.730.80N/AN/AN/A0.820.77
Quick Ratio
0.580.550.580.580.490.470.500.490.470.540.550.49
Cash ratio
0.120.090.150.100.080.060.040.040.050.150.150.08
Days of Sales Outstanding
41.1344.7843.6346.2742.7244.7642.6241.4341.2438.1440.4744.76
Days of Inventory outstanding
52.9558.2253.0555.8151.3452.6256.3860.7559.3453.2554.9851.34
Operating Cycle
94.09103.0096.68102.0994.0697.3999.01102.18100.5991.3995.4694.06
Days of Payables Outstanding
73.2179.6682.4488.3690.3389.8198.85104.1999.7299.51103.4190.33
Cash Conversion Cycle
20.8723.3414.2413.723.737.570.15-2.000.86-8.11-7.957.57
Debt Ratios
Debt Ratio
0.440.520.510.490.510.500.470.480.460.450.430.50
Debt Equity Ratio
9.54-44.68-74.2311.80-25.97-234.7513.3616.6815.398.715.79-25.97
Long-term Debt to Capitalization
0.881.021.010.911.041.000.920.940.930.890.841.00
Total Debt to Capitalization
0.901.021.010.921.041.000.930.940.930.890.851.00
Interest Coverage Ratio
8.875.4610.3910.378.4711.4512.87N/AN/AN/A12.468.47
Cash Flow to Debt Ratio
0.400.290.420.390.390.350.440.310.320.440.480.39
Company Equity Multiplier
21.29-85.29-143.1524.08-50.58-463.1227.9934.7032.8518.9513.35-50.58
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.120.170.160.160.140.190.140.130.170.180.16
Free Cash Flow / Operating Cash Flow Ratio
0.630.540.760.730.700.550.670.630.670.780.790.70
Cash Flow Coverage Ratio
0.400.290.420.390.390.350.440.310.320.440.480.39
Short Term Coverage Ratio
2.141.382.853.072.451.787.676.303.236.406.382.45
Dividend Payout Ratio
82.30%125.56%60.52%59.65%98.29%65.27%61.69%83.57%80.55%90.02%62.10%65.27%