Kongsberg Gruppen ASA
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
9.378.24N/AN/A
Price/Sales ratio
0.960.870.800.71
Earnings per Share (EPS)
NOK30.71NOK34.91N/AN/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
16.9023.2922.8728.4921.4235.4721.3923.6026.5822.0747.2021.42
Price/Sales ratio
0.891.020.941.081.041.031.231.852.312.014.851.04
Price/Book Value ratio
2.362.852.232.151.191.942.393.785.445.1313.231.19
Price/Cash Flow ratio
6.37-16.0018.465.446.8612.3811.2810.2566.6514.0620.996.86
Price/Free Cash Flow ratio
7.88-11.18-152.446.658.2619.3115.4612.192.63K23.7926.318.26
Price/Earnings Growth ratio
-0.58-1.61-1.82-12.251.05-1.180.190.500.910.63-17.00-1.18
Dividend Yield
4.25%6.36%3.40%2.83%2.98%1.80%7.09%2.79%3.68%2.59%1.08%1.80%
Profitability Indicator Ratios
Gross Profit Margin
66.33%64.87%62.45%69.51%70.12%61.26%65.44%65.10%64.75%62.24%16.59%61.26%
Operating Profit Margin
7.60%5.54%4.36%5.32%6.57%5.14%8.62%11.42%12.01%11.42%9.95%6.57%
Pretax Profit Margin
7.76%5.54%4.60%4.51%5.86%4.01%7.24%10.64%10.99%11.51%12.30%5.86%
Net Profit Margin
5.27%4.38%4.12%3.82%4.87%2.90%5.78%7.86%8.71%9.13%10.29%4.87%
Effective Tax Rate
31.51%20.02%10.69%14.52%16.58%25.85%20.16%21.62%19.64%20.51%22.27%16.58%
Return on Assets
4.30%3.90%3.08%2.65%2.53%1.77%3.77%5.49%6.41%6.97%8.33%2.53%
Return On Equity
13.96%12.27%9.75%7.55%5.56%5.48%11.18%16.02%20.48%23.24%29.13%5.56%
Return on Capital Employed
13.70%10.91%5.59%6.03%5.07%6.01%11.30%15.57%19.97%20.60%19.32%5.07%
Liquidity Ratios
Current Ratio
1.291.261.391.462.061.231.23N/AN/AN/A1.131.23
Quick Ratio
1.000.910.860.971.821.021.031.060.880.910.921.02
Cash ratio
0.390.170.210.361.110.300.370.420.160.190.210.30
Days of Sales Outstanding
126.86150.44103.31N/AN/A185.69161.40154.98172.01181.29176.82185.69
Days of Inventory outstanding
213.81224.19286.28327.31184.66155.10170.41164.11178.85163.0066.42155.10
Operating Cycle
340.67374.63389.59327.31184.66340.79331.82319.09350.86344.29243.24184.66
Days of Payables Outstanding
69.2374.0663.6878.2578.7482.0974.2788.9582.1168.2667.8982.09
Cash Conversion Cycle
271.43300.57325.91249.06105.92258.70257.54230.13268.75276.02175.34105.92
Debt Ratios
Debt Ratio
0.040.040.190.160.150.100.08-0.230.050.050.040.10
Debt Equity Ratio
0.130.130.610.450.340.320.26-0.690.180.180.140.32
Long-term Debt to Capitalization
0.120.120.360.310.240.210.120.150.120.130.120.21
Total Debt to Capitalization
0.120.120.370.310.250.240.20-2.250.150.150.120.24
Interest Coverage Ratio
44.0943.487.495.537.314.198.38N/AN/AN/A16.17.31
Cash Flow to Debt Ratio
2.71-1.280.190.860.500.490.80-0.530.451.944.330.50
Company Equity Multiplier
3.243.143.162.842.193.092.962.913.193.333.362.19
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.13-0.060.050.200.150.080.100.180.030.140.230.15
Free Cash Flow / Operating Cash Flow Ratio
0.801.43-0.120.810.830.640.720.840.020.590.790.64
Cash Flow Coverage Ratio
2.71-1.280.190.860.500.490.80-0.530.451.944.330.50
Short Term Coverage Ratio
N/AN/A3.072.89K7.013.231.87-0.422.4511.65N/A3.23
Dividend Payout Ratio
71.93%148.19%77.94%80.86%63.90%64%151.78%66.00%97.90%57.32%25.54%64%