Marks and Spencer Group
Financial ratios & Valuation

Forward Multiples (2026 – 2029)

2026202720282029
Price/Earnings ratio
820.65769.87709.48709.38
Price/Sales ratio
32.5331.6030.6130.69
Earnings per Share (EPS)
Β£0.28Β£0.30Β£0.32Β£0.32

Historical Multiples (2010 – 2022)

2010 2010 2011 2011 2012 2016 2017 2019 2020 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
10.941.15K9.991.05K10.9815.6644.76131.2979.349.8715.1310.98
Price/Sales ratio
0.6063.750.6266.320.560.600.490.420.180.270.570.56
Price/Book Value ratio
2.65280.372.28241.632.021.851.661.780.501.032.512.02
Price/Cash Flow ratio
5.40494.735.80538.395.285.254.903.532.542.586.585.28
Price/Free Cash Flow ratio
905.85760.501.02K865.8616.277.516.914.284.573.329.569.56
Price/Earnings Growth ratio
2.9245.98K0.6342.14K-0.67-0.93-0.624.32-2.01-0.0315.13-0.67
Dividend Yield
4.09%0.03%4.04%0.03%4.74%4.73%7.20%6.90%10.16%N/A0.79%4.73%
Profitability Indicator Ratios
Gross Profit Margin
37.94%37.94%38.24%38.24%37.80%38.16%37.58%35.95%28.71%29.58%33.97%38.16%
Operating Profit Margin
9.31%8.93%8.68%8.59%8.43%7.71%6.75%7.15%5.78%6.12%6.50%7.71%
Pretax Profit Margin
7.36%7.37%8.01%8.01%6.62%4.63%1.66%0.81%0.96%4.06%5.68%5.68%
Net Profit Margin
5.51%5.51%6.28%6.28%5.16%3.85%1.10%0.32%0.23%2.81%3.77%3.85%
Effective Tax Rate
25.57%25.60%23.31%23.30%25.59%17.26%34.41%46.19%40.52%18.67%31.77%25.59%
Return on Assets
7.35%7.35%8.33%8.33%7.05%4.80%1.41%0.37%0.23%3.24%5.82%5.82%
Return On Equity
24.26%24.25%22.89%22.89%18.38%11.81%3.71%1.35%0.64%10.52%17.22%17.22%
Return on Capital Employed
16.88%13.35%16.47%15.21%15.90%12.78%12.10%11.37%7.06%9.41%14.37%14.37%
Liquidity Ratios
Current Ratio
0.800.800.740.740.72N/AN/AN/AN/AN/A0.820.72
Quick Ratio
0.300.360.310.360.220.310.400.310.350.620.440.22
Cash ratio
0.210.210.210.210.090.110.190.120.140.500.230.09
Days of Sales Outstanding
N/A4.43N/A4.69N/A4.003.756.245.264.7010.6010.60
Days of Inventory outstanding
37.8137.8141.5841.5740.2744.7341.7638.4628.3633.6240.4640.27
Operating Cycle
37.8142.2541.5846.2740.2748.7345.5144.7133.6338.3251.0740.27
Days of Payables Outstanding
48.8548.8555.7755.7658.3957.1553.2649.6642.0934.8988.0758.39
Cash Conversion Cycle
-11.03-6.60-14.19-9.49-18.11-8.41-7.75-4.94-8.453.43-37.00-8.41
Debt Ratios
Debt Ratio
0.690.690.630.630.610.230.260.190.150.160.330.33
Debt Equity Ratio
2.292.291.741.741.610.580.690.700.410.520.950.95
Long-term Debt to Capitalization
0.510.510.410.410.410.330.340.330.280.330.450.41
Total Debt to Capitalization
0.530.530.44N/A0.440.370.400.410.290.340.480.44
Interest Coverage Ratio
6.52-5.136.01-9.526.17N/AN/AN/AN/AN/A5.21N/A
Cash Flow to Debt Ratio
0.430.490.49N/A0.460.590.480.710.470.760.400.59
Company Equity Multiplier
3.293.292.742.742.602.462.623.582.753.242.852.60
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.110.120.100.120.100.110.100.110.070.100.080.11
Free Cash Flow / Operating Cash Flow Ratio
0.590.650.560.620.320.700.710.820.550.770.680.32
Cash Flow Coverage Ratio
0.430.490.49N/A0.460.590.480.710.470.760.400.59
Short Term Coverage Ratio
6.205.594.87N/A3.254.072.062.4214.6224.883.513.25
Dividend Payout Ratio
44.84%44.86%40.44%40.44%52.19%74.14%322.37%905.97%806.32%N/A11.83%74.14%