Petróleo Brasileiro S.A. - Petrobras
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
3.293.243.34
Price/Sales ratio
0.770.750.69
Earnings per Share (EPS)
$3.32$3.37$3.27

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-6.71-2.62-11.87-732.4910.539.5863.223.311.653.994.499.58
Price/Sales ratio
0.340.220.700.850.891.271.340.780.480.970.781.27
Price/Book Value ratio
0.420.330.740.831.051.321.210.950.871.261.031.32
Price/Cash Flow ratio
1.850.852.202.452.863.802.491.741.212.301.863.80
Price/Free Cash Flow ratio
-6.045.204.774.945.2357.143.132.091.503.192.9257.14
Price/Earnings Growth ratio
0.04-0.170.277.46-0.001.05-0.730.000.01-0.125.60-0.00
Dividend Yield
7.92%N/AN/AN/A0.82%1.95%1.66%20.27%62.06%19.77%27.14%0.82%
Profitability Indicator Ratios
Gross Profit Margin
23.79%30.65%31.92%34.26%38.34%40.28%45.61%48.59%52.21%52.70%51.83%38.34%
Operating Profit Margin
9.95%15.10%19.27%12.46%26.90%27.31%37.34%36.92%42.78%38.35%33.87%26.90%
Pretax Profit Margin
-6.14%-10.01%-4.50%1.93%12.79%15.67%-0.42%33.61%43.00%34.56%23.48%12.79%
Net Profit Margin
-5.12%-8.68%-5.94%-0.11%8.47%13.25%2.12%23.67%29.42%24.29%16.95%8.47%
Effective Tax Rate
14.97%11.66%-18.66%112.60%39.30%34.99%519.46%29.19%31.33%29.38%27.41%34.99%
Return on Assets
-2.46%-3.66%-1.95%-0.03%3.23%4.41%0.60%11.39%19.56%11.46%8.37%3.23%
Return On Equity
-6.33%-12.95%-6.30%-0.11%10.02%13.84%1.92%28.63%52.70%31.66%22.11%10.02%
Return on Capital Employed
5.34%7.28%7.06%4.28%11.55%10.41%12.24%20.64%34.18%21.43%20.06%11.55%
Liquidity Ratios
Current Ratio
1.631.511.791.881.470.961.04N/AN/AN/A0.930.96
Quick Ratio
1.261.251.451.541.120.680.820.940.710.730.700.68
Cash ratio
0.530.870.850.900.550.250.440.430.250.370.260.25
Days of Sales Outstanding
29.9331.1332.6034.7233.5534.8149.8133.5318.5225.9725.4534.81
Days of Inventory outstanding
38.2240.2455.8160.5162.8565.3570.9761.3453.8657.8857.7165.35
Operating Cycle
68.1571.3888.4295.2496.41100.17120.7894.8872.3983.8683.17100.17
Days of Payables Outstanding
32.5434.4637.9541.1144.2544.7085.7546.3633.5236.2741.0944.70
Cash Conversion Cycle
35.6136.9150.4754.1252.1655.4735.0348.5138.8647.5942.0755.47
Debt Ratios
Debt Ratio
0.440.540.470.430.370.270.280.200.160.130.130.27
Debt Equity Ratio
1.131.931.531.361.170.860.900.510.430.360.350.86
Long-term Debt to Capitalization
0.500.630.580.560.520.440.450.310.270.230.230.44
Total Debt to Capitalization
0.530.650.600.570.540.460.470.330.300.260.260.46
Interest Coverage Ratio
4.322.912.492.525.572.763.01N/AN/AN/A10.465.57
Cash Flow to Debt Ratio
0.200.200.220.240.310.400.531.051.651.501.550.31
Company Equity Multiplier
2.563.533.213.143.103.133.202.512.692.762.733.13
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.180.260.320.340.310.330.530.450.390.420.400.31
Free Cash Flow / Operating Cash Flow Ratio
-0.300.160.460.490.540.060.790.830.800.710.650.54
Cash Flow Coverage Ratio
0.200.200.220.240.310.400.531.051.651.501.550.31
Short Term Coverage Ratio
2.241.762.673.877.185.726.9010.3713.909.9910.117.18
Dividend Payout Ratio
-53.18%N/AN/AN/A8.71%18.69%105.49%67.27%102.67%79.04%103.67%8.71%