Merck & Co.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
9.508.697.396.99
Price/Sales ratio
3.122.942.842.74
Earnings per Share (EPS)
$8.93$9.76$11.48$12.14

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
12.8931.5327.1156.3330.3622.5927.9214.8519.34778.7120.7822.59
Price/Sales ratio
3.633.543.873.604.464.744.753.984.734.723.984.74
Price/Book Value ratio
3.153.133.844.217.078.587.795.076.107.565.678.58
Price/Cash Flow ratio
19.5511.2714.8622.4417.2916.5519.2413.7414.7121.8513.8216.55
Price/Free Cash Flow ratio
27.7212.5717.6031.7322.7322.3135.4320.0719.1031.0816.9922.31
Price/Earnings Growth ratio
0.07-0.500.92-1.040.190.37-1.020.171.75-7.98-1.700.37
Dividend Yield
3.41%3.65%3.32%3.57%2.73%2.56%3.14%3.40%2.49%2.61%3.12%2.73%
Profitability Indicator Ratios
Gross Profit Margin
60.30%62.19%65.10%68.15%68.05%69.87%67.19%72.02%70.63%73.17%74.96%68.05%
Operating Profit Margin
29.63%4.03%8.98%9.04%13.55%19.69%14.63%28.13%32.72%4.91%23.52%13.55%
Pretax Profit Margin
40.91%13.67%18.83%16.81%20.57%24.47%21.17%28.49%27.73%3.14%21.70%20.57%
Net Profit Margin
28.22%11.24%14.29%6.40%14.70%21.01%17.02%26.79%24.49%0.60%19.21%14.70%
Effective Tax Rate
30.94%17.44%23.82%61.58%28.82%14.71%19.44%10.95%11.66%80.04%11.34%14.71%
Return on Assets
12.12%4.36%5.96%2.92%7.52%11.66%7.71%12.34%13.30%0.34%10.33%7.52%
Return On Equity
24.50%9.94%14.19%7.47%23.29%37.99%27.91%34.17%31.56%0.97%29.26%23.29%
Return on Capital Employed
15.73%1.93%4.57%5.23%9.48%14.83%9.45%16.74%22.84%3.64%16.90%9.48%
Liquidity Ratios
Current Ratio
1.761.541.771.331.161.231.01N/AN/AN/A1.361.16
Quick Ratio
1.471.301.491.050.920.960.781.011.221.001.150.92
Cash ratio
0.390.440.370.320.350.430.290.330.520.260.490.35
Days of Sales Outstanding
57.2559.9164.3462.5261.0252.8163.6469.1758.1862.8365.7161.02
Days of Inventory outstanding
121.26114.87127.85145.6146.98154.61169.12159.46123.91143.90144.01154.61
Operating Cycle
178.52174.79192.20208.12208.00207.43232.77228.63182.09206.74209.72208.00
Days of Payables Outstanding
57.1461.9073.7588.6289.6496.68115.97123.4689.3888.7782.7196.68
Cash Conversion Cycle
121.38112.88118.45119.49118.35110.75116.79105.1792.71117.97127.01118.35
Debt Ratios
Debt Ratio
0.210.260.260.270.300.310.340.310.280.320.320.30
Debt Equity Ratio
0.430.590.610.710.941.011.250.860.660.930.851.01
Long-term Debt to Capitalization
0.270.340.370.380.420.460.500.440.380.470.440.42
Total Debt to Capitalization
0.300.370.380.410.480.500.550.460.400.480.460.50
Interest Coverage Ratio
9.1211.238.709.6911.5613.7010.20N/AN/AN/A11.8611.56
Cash Flow to Debt Ratio
0.360.460.410.260.430.510.320.420.620.370.470.43
Company Equity Multiplier
2.022.272.372.553.093.253.612.762.372.832.643.25
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.180.310.260.160.250.280.240.280.320.210.280.25
Free Cash Flow / Operating Cash Flow Ratio
0.700.890.840.700.760.740.540.680.770.700.810.76
Cash Flow Coverage Ratio
0.360.460.410.260.430.510.320.420.620.370.470.43
Short Term Coverage Ratio
2.904.8018.262.102.053.721.595.849.819.475.792.05
Dividend Payout Ratio
44.01%115.19%90.03%201.20%83.15%57.85%87.94%50.65%48.29%2039.72%63.72%63.72%