Orell Füssli AG
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
14.8913.9813.96
Price/Sales ratio
0.730.700.70
Earnings per Share (EPS)
CHF6.24CHF6.65CHF6.66

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-344.9519.9222.6746.31-3.6122.9816.1918.7813.7612.2317.05-3.61
Price/Sales ratio
0.630.780.810.760.640.820.950.830.730.630.630.82
Price/Book Value ratio
1.381.521.671.511.201.411.541.391.311.191.251.20
Price/Cash Flow ratio
3.617.9415.565.6010.339.3617.686.688.225.644.229.36
Price/Free Cash Flow ratio
5.4013.9332.117.3726.0512.68-28.9016.1416.5611.886.1712.68
Price/Earnings Growth ratio
3.55-0.00-10.63-0.830.00-0.190.30-0.680.564.050.170.00
Dividend Yield
N/AN/A3.2%3.54%4.59%6.02%5.60%3.33%4.14%4.52%5.10%4.59%
Profitability Indicator Ratios
Gross Profit Margin
48.92%55.39%51.47%51.46%55.09%51.53%50.52%54.17%56.66%56.96%57.20%55.09%
Operating Profit Margin
1.96%7.39%6.26%4.86%7.59%8.99%6.83%7.25%6.57%8.36%19.12%7.59%
Pretax Profit Margin
1.23%6.25%6.44%4.63%-16.12%5.68%6.83%6.60%6.56%7.92%6.79%-16.12%
Net Profit Margin
-0.18%3.94%3.61%1.65%-17.80%3.57%5.92%4.46%5.37%5.18%3.75%-17.80%
Effective Tax Rate
53.28%26.62%35.96%52.21%-10.41%19.39%-0.40%12.95%18.15%20.74%27.96%-10.41%
Return on Assets
-0.20%4.59%4.58%2.07%-21.10%3.83%6.13%5.04%6.50%6.74%4.86%-21.10%
Return On Equity
-0.40%7.65%7.37%3.28%-33.31%6.13%9.55%7.44%9.54%9.72%7.23%-33.31%
Return on Capital Employed
3.74%12.61%11.32%8.72%13.03%13.99%10.01%10.33%10.37%14.25%35.17%13.03%
Liquidity Ratios
Current Ratio
1.482.002.252.252.382.482.39N/AN/AN/A2.152.48
Quick Ratio
1.101.511.721.782.072.162.072.632.092.071.572.16
Cash ratio
0.570.950.991.251.441.491.241.981.501.450.991.49
Days of Sales Outstanding
63.2045.2451.1129.2143.3551.9561.1130.3226.1228.2916.1851.95
Days of Inventory outstanding
103.77114.8899.0089.2268.7973.1170.0558.96110.1653.0983.3168.79
Operating Cycle
166.97160.12150.11118.43112.15125.06131.1689.29136.2881.3999.49125.06
Days of Payables Outstanding
40.2131.6148.8625.6823.6838.3640.1121.1435.9412.4531.6623.68
Cash Conversion Cycle
126.76128.50101.2592.7588.4686.7091.0568.14100.3368.9367.8386.70
Debt Ratios
Debt Ratio
0.040.010.010.010.000.000.000.030.010.000.000.00
Debt Equity Ratio
0.080.020.020.010.010.010.010.040.020.010.000.01
Long-term Debt to Capitalization
0.010.010.010.010.010.010.010.020.010.010.000.01
Total Debt to Capitalization
0.070.020.010.010.010.010.010.040.020.010.000.01
Interest Coverage Ratio
15.52120.16389395.14165.0182.6152.29N/AN/AN/A22.5782.61
Cash Flow to Debt Ratio
4.749.275.3314.0410.0812.726.284.565.7115.96338.6910.08
Company Equity Multiplier
1.941.661.601.571.571.591.551.471.461.441.511.59
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.170.090.050.130.060.080.050.120.080.110.150.06
Free Cash Flow / Operating Cash Flow Ratio
0.660.560.480.760.390.73-0.610.410.490.470.680.39
Cash Flow Coverage Ratio
4.749.275.3314.0410.0812.726.284.565.7115.96338.6910.08
Short Term Coverage Ratio
5.7524.9914.6633.67N/AN/A47.4112.7310.96N/AN/AN/A
Dividend Payout Ratio
N/AN/A72.55%164.24%-16.61%138.61%90.82%62.62%57.09%55.33%86.77%-16.61%