Mullen Group Ltd.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
8.267.727.506.53
Price/Sales ratio
0.520.500.460.43
Earnings per Share (EPS)
CA$1.40CA$1.50CA$1.55CA$1.78

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.5796.0637.7825.23-29.0713.4517.1415.428.569.2310.49-29.07
Price/Sales ratio
1.361.051.891.451.000.760.940.750.670.630.640.76
Price/Book Value ratio
2.161.592.041.671.411.051.221.251.391.291.271.27
Price/Cash Flow ratio
7.836.0611.2811.639.045.694.875.645.164.565.015.69
Price/Free Cash Flow ratio
15.859.2812.8215.1633.4810.196.878.617.487.207.1710.19
Price/Earnings Growth ratio
-0.58-1.120.151.190.17-0.05-2.360.890.06-0.870.340.17
Dividend Yield
5.62%8.56%3.06%2.25%4.74%6.47%3.23%4.03%4.53%5.12%4.76%4.74%
Profitability Indicator Ratios
Gross Profit Margin
25.03%22.73%22.98%21.12%21.45%20.10%22.86%20.85%22.95%23.75%23.86%21.45%
Operating Profit Margin
13.97%11.13%9.24%7.51%8.05%7.40%10.27%8.42%11.45%17.03%10.06%8.05%
Pretax Profit Margin
9.22%3.57%6.93%7.22%-2.10%6.26%7.39%6.49%10.54%9.18%8.22%-2.10%
Net Profit Margin
6.62%1.10%5.02%5.75%-3.47%5.65%5.49%4.90%7.93%6.85%6.17%-3.47%
Effective Tax Rate
28.16%69.17%27.46%20.38%-64.65%9.85%25.72%24.54%24.78%25.34%26.29%-64.65%
Return on Assets
5.08%0.73%2.77%3.74%-2.66%4.12%3.72%3.76%7.94%6.69%4.77%-2.66%
Return On Equity
10.50%1.65%5.41%6.61%-4.87%7.87%7.13%8.15%16.29%14.02%12.39%-4.87%
Return on Capital Employed
11.51%8.18%5.81%5.43%6.74%5.75%7.42%7.48%12.89%22.08%9.53%6.74%
Liquidity Ratios
Current Ratio
4.572.122.072.021.933.293.25N/AN/AN/A1.623.29
Quick Ratio
4.281.941.941.851.692.982.961.061.440.661.522.98
Cash ratio
2.520.881.190.760.020.740.99-0.310.030.000.720.02
Days of Sales Outstanding
55.1349.8856.4458.5664.4163.3361.4362.9753.0152.5159.2063.33
Days of Inventory outstanding
13.0011.7713.7712.2712.4811.7912.2210.969.9511.4411.3511.79
Operating Cycle
68.1461.6670.2170.8476.8975.1273.6573.9362.9763.9670.5575.12
Days of Payables Outstanding
14.708.9412.6611.7112.2210.8311.7117.2312.7013.2343.5912.22
Cash Conversion Cycle
53.4352.7257.5559.1264.6764.2961.9456.7050.2650.7226.9564.29
Debt Ratios
Debt Ratio
0.370.420.370.300.310.320.330.340.310.320.380.31
Debt Equity Ratio
0.780.960.720.540.570.620.630.740.630.680.980.57
Long-term Debt to Capitalization
0.430.460.360.310.340.380.380.390.380.260.420.34
Total Debt to Capitalization
0.430.490.420.350.360.380.380.420.380.400.490.36
Interest Coverage Ratio
4.113.722.802.854.583.433.88N/AN/AN/A4.864.58
Cash Flow to Debt Ratio
0.350.270.250.260.270.290.390.290.420.410.250.29
Company Equity Multiplier
2.062.251.951.761.831.901.912.162.052.092.531.83
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.170.170.160.120.110.130.190.130.130.130.120.11
Free Cash Flow / Operating Cash Flow Ratio
0.490.650.870.760.270.550.710.650.690.630.690.27
Cash Flow Coverage Ratio
0.350.270.250.260.270.290.390.290.420.410.250.29
Short Term Coverage Ratio
N/A2.941.271.704.69N/A14.05K2.2211.420.871.04N/A
Dividend Payout Ratio
115.82%822.83%115.80%56.96%-138.08%87.06%55.50%62.30%38.81%47.37%52.31%-138.08%