L'Oréal S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
30.7128.1925.6224.12
Price/Sales ratio
N/AN/AN/AN/A
Earnings per Share (EPS)
$3.02$3.29$3.63$3.85

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
24.0526.6131.4028.7528.5939.1748.8750.8931.247.805.6939.17
Price/Sales ratio
2.953.323.713.294.134.916.227.244.661.174.314.13
Price/Book Value ratio
3.983.713.984.144.134.996.009.916.561.661.244.99
Price/Cash Flow ratio
20.8520.8820.7319.8121.0523.4526.9934.7728.396.344.8823.45
Price/Free Cash Flow ratio
28.2128.9528.9426.1728.7429.1931.7741.3836.127.8930.7028.74
Price/Earnings Growth ratio
-2.080.06-3.990.69-0.340.10-9.921.731.060.950.60-0.34
Dividend Yield
1.97%1.74%1.87%1.81%1.85%1.51%1.25%1.00%1.50%7.09%1.46%1.51%
Profitability Indicator Ratios
Gross Profit Margin
71.14%71.20%71.63%71.72%72.78%73.00%73.09%73.88%72.35%73.85%74.18%72.78%
Operating Profit Margin
17.13%17.70%18.00%17.96%18.27%18.56%18.60%19.07%19.48%19.77%19.62%18.27%
Pretax Profit Margin
17.20%18.44%17.24%18.16%19.24%18.11%17.06%18.72%19.89%19.42%19.88%19.24%
Net Profit Margin
12.28%12.49%11.84%11.47%14.46%12.55%12.73%14.23%14.91%15.01%15.16%14.46%
Effective Tax Rate
28.65%27.43%28.24%19.06%24.77%30.62%25.32%23.90%24.95%22.62%23.66%30.62%
Return on Assets
10.44%9.78%8.71%10.13%10.12%8.55%8.17%10.68%12.18%11.92%12.23%10.12%
Return On Equity
16.58%13.96%12.67%14.43%14.46%12.74%12.29%19.49%20.99%21.26%22.07%14.46%
Return on Capital Employed
20.50%18.29%17.86%21.44%17.36%16.84%16.03%23.30%22.51%22.03%22.86%17.36%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A1.01N/A
Quick Ratio
0.700.830.790.920.951.011.060.530.720.790.721.01
Cash ratio
0.200.170.180.330.390.480.570.160.190.280.160.48
Days of Sales Outstanding
44.1350.1954.8645.8653.9749.9345.7845.4545.3645.1354.8753.97
Days of Inventory outstanding
104.96117.27132.39103.12140.48132.19129.66137.06140.77151.95154.73140.48
Operating Cycle
149.10167.46187.25148.99194.45182.12175.44182.52186.13197.08209.61194.45
Days of Payables Outstanding
160.16188.78202.87171.17226.51210.83230.87262.63218.97215.16224.26210.83
Cash Conversion Cycle
-11.06-21.32-15.62-22.18-32.06-28.71-55.42-80.11-32.83-18.07-14.65-32.06
Debt Ratios
Debt Ratio
0.070.020.030.030.030.010.010.100.080.130.130.03
Debt Equity Ratio
0.120.030.050.040.040.020.020.190.140.230.240.04
Long-term Debt to Capitalization
0.000.000.000.000.000.000.000.000.090.140.110.00
Total Debt to Capitalization
0.110.030.040.040.040.020.020.160.120.190.190.04
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A25.27N/A
Cash Flow to Debt Ratio
1.515.593.794.454.287.367.461.451.551.111.037.36
Company Equity Multiplier
1.581.421.451.421.421.481.501.821.721.781.781.42
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.150.170.160.190.200.230.200.160.180.170.20
Free Cash Flow / Operating Cash Flow Ratio
0.730.720.710.750.730.800.840.840.780.800.790.73
Cash Flow Coverage Ratio
1.515.593.794.454.287.367.461.451.551.111.037.36
Short Term Coverage Ratio
1.535.713.824.484.317.447.531.456.193.632.167.44
Dividend Payout Ratio
47.44%46.54%59.01%52.23%52.91%59.22%61.47%51.16%47.13%55.39%56.06%52.91%