Novartis AG
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
12.3211.268.908.42
Price/Sales ratio
3.503.463.803.74
Earnings per Share (EPS)
CHF6.51CHF7.13CHF9.01CHF9.53

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
19.5010.3322.7622.7313.9030.4126.658.2128.3414.2011.2630.41
Price/Sales ratio
3.713.643.093.493.294.464.313.733.804.523.863.29
Price/Book Value ratio
2.812.382.042.362.233.913.802.913.324.514.572.23
Price/Cash Flow ratio
14.3215.4513.3113.8712.2815.9515.7613.0913.8414.5812.4112.28
Price/Free Cash Flow ratio
19.5322.8417.7717.7316.0619.1119.4416.3017.0418.0215.4219.11
Price/Earnings Growth ratio
1.620.13-0.361.390.21-0.711.930.04-0.400.110.320.21
Dividend Yield
3.41%3.61%4.23%3.70%3.97%3.05%3.24%3.73%3.80%3.43%3.71%3.05%
Profitability Indicator Ratios
Gross Profit Margin
67.66%65.45%64.56%65.74%65.37%70.36%69.69%69.99%70.12%73.27%74.91%65.37%
Operating Profit Margin
20.67%17.81%16.72%17.21%15.36%18.66%20.34%50.96%17.74%20.93%27.22%15.36%
Pretax Profit Margin
22.88%16.14%15.81%17.94%26.02%18.36%19.79%49.42%16.15%19.55%25.49%18.36%
Net Profit Margin
19.03%35.29%13.57%15.36%23.72%14.68%16.17%45.42%13.41%31.82%35.24%23.72%
Effective Tax Rate
12.58%13.59%14.31%14.40%8.82%20.05%18.29%8.10%16.91%6.03%7.65%20.05%
Return on Assets
8.14%13.51%5.15%5.78%8.66%6.03%6.11%18.22%5.92%14.85%17.00%8.66%
Return On Equity
14.42%23.08%8.96%10.38%16.04%12.88%14.26%35.50%11.72%31.82%41.08%16.04%
Return on Capital Employed
11.26%8.32%7.66%7.86%7.04%10.08%10.25%26.52%10.35%13.28%18.03%7.04%
Liquidity Ratios
Current Ratio
1.390.961.121.201.201.040.89N/AN/AN/A1.111.04
Quick Ratio
1.160.700.840.910.960.830.681.291.030.930.900.83
Cash ratio
0.480.190.310.370.440.390.290.410.260.500.480.44
Days of Sales Outstanding
69.7876.4375.3280.8175.6877.5173.4157.1769.6773.3459.5677.51
Days of Inventory outstanding
128.21130.57130.31145.93137.93151.36172.13153.34169.11173.04173.07137.93
Operating Cycle
198.00207.00205.63226.74213.61228.87245.54210.51238.79246.39232.63213.61
Days of Payables Outstanding
114.03118.87101.52109.85110.17137.24130.42127.73121.28144.16119.10110.17
Cash Conversion Cycle
83.9788.13104.11116.89103.4491.63115.1282.77117.50102.22113.53103.44
Debt Ratios
Debt Ratio
0.160.160.180.210.220.230.270.220.220.240.290.22
Debt Equity Ratio
0.280.280.310.380.400.490.630.430.440.520.690.40
Long-term Debt to Capitalization
0.160.170.190.230.220.260.310.250.250.280.350.22
Total Debt to Capitalization
0.220.220.240.270.280.330.380.300.300.340.410.28
Interest Coverage Ratio
15.7513.7011.6911.108.5310.6811.68N/AN/AN/A14.348.53
Cash Flow to Debt Ratio
0.680.540.480.440.440.490.370.510.540.580.520.44
Company Equity Multiplier
1.771.701.731.791.852.132.331.941.972.142.381.85
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.250.230.230.250.260.270.270.280.270.300.310.26
Free Cash Flow / Operating Cash Flow Ratio
0.730.670.740.780.760.830.810.800.810.800.780.76
Cash Flow Coverage Ratio
0.680.540.480.440.440.490.370.510.540.580.520.44
Short Term Coverage Ratio
2.102.121.942.421.481.931.392.392.402.372.431.48
Dividend Payout Ratio
66.69%37.35%96.46%84.31%55.23%92.97%86.55%30.67%107.92%48.85%43.31%92.97%