PepsiCo
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
18.4117.2115.2514.40
Price/Sales ratio
2.422.322.522.39
Earnings per Share (EPS)
CHF8.69CHF9.29CHF10.48CHF11.10

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
21.9527.3023.2434.0612.0826.1128.6831.0228.9726.4622.4712.08
Price/Sales ratio
2.142.362.342.602.332.842.902.972.982.622.282.84
Price/Book Value ratio
8.2012.4813.2515.1910.4112.9115.1714.7215.0512.9810.8110.41
Price/Cash Flow ratio
13.6114.0614.1316.5516.0619.7919.2420.3423.8817.8617.4716.06
Price/Free Cash Flow ratio
18.7019.0219.9723.5524.6635.2532.0433.8046.0630.3133.8924.66
Price/Earnings Growth ratio
-32.28-1.961.32-1.490.07-0.64-15.084.571.6915.521.440.07
Dividend Yield
2.60%2.71%2.87%2.70%3.25%2.77%2.69%2.46%2.39%2.78%3.47%3.25%
Profitability Indicator Ratios
Gross Profit Margin
53.68%54.98%55.08%54.68%54.56%55.13%54.81%53.34%53.03%54.21%54.67%54.56%
Operating Profit Margin
14.36%13.24%15.58%16.54%15.63%15.32%14.32%14.04%13.32%13.10%13.53%15.32%
Pretax Profit Margin
13.13%11.80%13.61%15.11%14.21%13.86%12.88%12.35%12.39%12.48%12.69%13.86%
Net Profit Margin
9.76%8.64%10.07%7.64%19.35%10.89%10.11%9.58%10.31%9.92%10.17%10.89%
Effective Tax Rate
25.11%26.08%25.41%48.88%-36.67%21.03%20.88%21.81%16.13%19.81%19.31%-36.67%
Return on Assets
9.23%7.82%8.53%6.08%16.11%9.31%7.66%8.24%9.66%9.02%9.30%9.31%
Return On Equity
37.34%45.72%57.04%44.60%86.20%49.46%52.92%47.48%51.95%49.04%48.95%49.46%
Return on Capital Employed
18.27%16.03%18.46%17.72%18.21%17.71%14.49%16.87%17.60%17.40%17.71%17.71%
Liquidity Ratios
Current Ratio
1.141.311.281.510.980.860.98N/AN/AN/A0.880.86
Quick Ratio
0.961.151.151.360.840.690.800.660.600.680.690.69
Cash ratio
0.330.510.430.510.390.260.350.210.180.300.240.26
Days of Sales Outstanding
36.4037.2632.4040.3540.3142.5143.5839.8642.9343.1547.9940.31
Days of Inventory outstanding
37.1434.9735.2337.3638.8540.4347.8942.7946.9746.4849.4438.85
Operating Cycle
73.5572.2367.6377.7279.1782.9491.4782.6689.9189.6497.4479.17
Days of Payables Outstanding
60.5971.3179.6785.2989.6097.06101.6296.8196.53101.40208.4489.60
Cash Conversion Cycle
12.950.92-12.04-7.57-10.43-14.11-10.14-14.15-6.62-11.75-110.99-14.11
Debt Ratios
Debt Ratio
0.400.480.490.490.410.420.480.450.440.430.440.41
Debt Equity Ratio
1.652.823.323.602.222.243.372.612.392.382.312.22
Long-term Debt to Capitalization
0.570.710.730.750.660.670.750.700.680.670.660.66
Total Debt to Capitalization
0.620.730.760.780.690.690.770.720.700.700.690.69
Interest Coverage Ratio
10.5410.017.299.136.629.068.93N/AN/AN/A14.266.62
Cash Flow to Debt Ratio
0.360.310.280.250.290.290.230.270.260.300.260.29
Company Equity Multiplier
4.045.846.687.325.345.316.905.755.375.435.165.31
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.150.160.160.150.140.140.150.140.120.140.130.14
Free Cash Flow / Operating Cash Flow Ratio
0.720.730.700.700.650.560.600.600.510.580.510.56
Cash Flow Coverage Ratio
0.360.310.280.250.290.290.230.270.260.300.260.29
Short Term Coverage Ratio
2.062.591.501.822.333.302.802.693.162.061.843.30
Dividend Payout Ratio
57.27%74.10%66.78%92.07%39.39%72.51%77.37%76.33%69.27%73.63%75.98%39.39%