Grupo Aeroportuario del Pacífico, S.A.B. de C.V.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
1.301.070.850.79
Price/Sales ratio
0.390.350.290.25
Earnings per Share (EPS)
$196.19$237.63$298.04$320.56

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
21.8329.2926.7922.8216.4021.2859.2524.4015.78157.37208.0216.40
Price/Sales ratio
8.829.858.098.735.967.259.837.695.1945.205.627.25
Price/Book Value ratio
2.303.754.215.134.075.995.357.587.6375.9290.844.07
Price/Cash Flow ratio
14.1516.2815.5917.5011.6514.4132.7013.1911.36107.77117.1311.65
Price/Free Cash Flow ratio
17.2421.1523.0025.4417.8021.06287.0023.8034.80430.2624.4017.80
Price/Earnings Growth ratio
30.851.351.160.551.892.81-0.900.110.29-1.760.102.81
Dividend Yield
6.33%3.94%4.32%4.40%6.23%5.11%N/A4.10%5.13%0.49%0.19%5.11%
Profitability Indicator Ratios
Gross Profit Margin
52.57%50.21%49.84%53.01%53.69%52.26%34.52%49.30%53.11%58.40%54.46%53.69%
Operating Profit Margin
49.85%50.43%47.12%50.79%51.29%49.40%32.19%46.58%50.45%45.56%44.30%49.40%
Pretax Profit Margin
49.71%44.62%41.59%49.90%49.61%45.27%20.10%41.17%44.83%38.41%35.34%45.27%
Net Profit Margin
40.43%33.62%30.19%38.25%36.38%34.07%16.59%31.54%32.91%28.72%26.62%34.07%
Effective Tax Rate
18.66%23.41%27.41%23.34%26.67%25.74%19.57%22.80%25.17%24.07%23.42%25.74%
Return on Assets
9.23%8.66%9.30%11.97%12.99%13.29%3.83%10.84%14.89%14.14%11.12%13.29%
Return On Equity
10.53%12.81%15.72%22.49%24.81%28.17%9.03%31.09%48.35%48.24%44.30%24.81%
Return on Capital Employed
12.17%15.24%15.34%16.87%19.38%21.72%8.28%19.27%25.77%27.34%22.16%19.38%
Liquidity Ratios
Current Ratio
1.300.723.083.913.602.003.20N/AN/AN/A1.492.00
Quick Ratio
1.300.723.083.913.602.003.201.752.241.131.492.00
Cash ratio
1.000.642.673.362.831.602.741.421.780.831.211.60
Days of Sales Outstanding
30.4115.0724.7835.3041.7539.8371.9457.3540.3438.4926.1239.83
Days of Inventory outstanding
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Operating Cycle
30.4115.0724.7835.3041.7539.8371.9457.3540.3438.4926.1239.83
Days of Payables Outstanding
31.7641.6457.3550.9648.6539.9747.41108.0556.4350.66N/A39.97
Cash Conversion Cycle
-1.34-26.56-32.57-15.66-6.90-0.1324.53-50.69-16.08-12.1626.12-6.90
Debt Ratios
Debt Ratio
0.070.200.270.330.340.390.470.500.560.60N/A0.39
Debt Equity Ratio
0.080.300.460.630.650.831.111.441.842.05N/A0.83
Long-term Debt to Capitalization
0.030.120.310.380.390.420.490.550.630.62N/A0.42
Total Debt to Capitalization
0.070.230.310.380.390.450.520.590.640.67N/A0.45
Interest Coverage Ratio
42.0619.5014.6510.348.086.942.74N/AN/AN/AN/A6.94
Cash Flow to Debt Ratio
2.010.740.580.460.530.490.140.390.360.34N/A0.49
Company Equity Multiplier
1.141.471.681.871.902.112.352.863.243.403.921.90
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.620.600.510.490.510.500.300.580.450.410.470.50
Free Cash Flow / Operating Cash Flow Ratio
0.820.760.670.680.650.680.110.550.320.250.480.68
Cash Flow Coverage Ratio
2.010.740.580.460.530.490.140.390.360.34N/A0.49
Short Term Coverage Ratio
3.531.3867.9943.627.23M3.711.342.795.541.77N/A3.71
Dividend Payout Ratio
138.23%115.67%115.97%100.53%102.27%108.83%N/A100.28%81.14%78.57%42.52%108.83%