OMV Petrom S.A.
Financial ratios & Valuation

Historical Multiples (2013 – 2022)

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
7.726.03-21.0215.406.984.587.1716.2711.092.597.886.98
Price/Sales ratio
1.530.580.780.980.890.831.021.061.220.430.620.83
Price/Book Value ratio
1.390.460.550.600.610.590.770.630.920.650.760.61
Price/Cash Flow ratio
4.621.852.693.602.922.533.833.784.542.352.952.92
Price/Free Cash Flow ratio
12.1913.7955.1510.455.196.119.099.957.653.285.255.19
Price/Earnings Growth ratio
0.35-0.100.15-0.060.050.07-0.66-0.250.090.000.020.07
Dividend Yield
4.22%13.63%4.43%0.00%4.84%6.00%5.81%8.28%5.47%16.62%1.91%6.00%
Profitability Indicator Ratios
Gross Profit Margin
33.30%24.35%7.49%18.48%27.27%30.73%26.03%21.04%22.87%22.08%19.00%30.73%
Operating Profit Margin
26.24%17.70%-1.07%9.98%16.82%23.14%16.65%7.44%14.25%19.62%14.71%23.14%
Pretax Profit Margin
23.56%13.50%-4.00%7.78%14.94%21.81%16.78%7.49%13.06%19.65%10.22%21.81%
Net Profit Margin
19.93%9.76%-3.72%6.42%12.81%18.10%14.26%6.54%11.01%16.79%8.09%18.10%
Effective Tax Rate
15.34%27.82%5.00%17.96%14.28%17.00%15.01%12.69%15.70%14.56%20.88%14.28%
Return on Assets
12.03%4.87%-1.64%2.51%5.92%9.31%7.65%2.71%5.73%17.90%6.29%5.92%
Return On Equity
18.07%7.77%-2.62%3.89%8.74%13.00%10.84%3.90%8.37%25.43%9.26%8.74%
Return on Capital Employed
18.19%10.31%-0.54%4.40%8.85%13.63%10.18%3.50%8.87%24.74%14.15%8.85%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A2.18N/A
Quick Ratio
0.290.580.620.931.211.451.741.931.832.421.751.21
Cash ratio
0.270.200.160.430.771.011.201.301.251.601.350.77
Days of Sales Outstanding
N/A36.4041.9240.7228.5129.2230.2039.2237.2621.2019.8229.22
Days of Inventory outstanding
44.9250.4042.7353.7453.7850.3347.7249.3041.7229.1335.0250.33
Operating Cycle
44.9286.8084.6594.4782.3079.5577.9288.5378.9850.3354.8479.55
Days of Payables Outstanding
66.9364.9450.4063.1072.4471.3565.3067.0259.4232.5743.0571.35
Cash Conversion Cycle
-22.0121.8634.2531.369.858.2012.6221.5019.5617.7511.799.85
Debt Ratios
Debt Ratio
0.040.050.050.030.020.010.020.020.010.010.010.01
Debt Equity Ratio
0.060.070.080.050.030.010.030.020.020.010.010.01
Long-term Debt to Capitalization
0.050.060.060.040.010.000.020.010.010.010.010.00
Total Debt to Capitalization
0.060.070.070.050.030.010.020.020.020.010.010.01
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A9.53N/A
Cash Flow to Debt Ratio
4.623.162.512.876.7113.446.595.767.5114.3013.206.71
Company Equity Multiplier
1.501.591.591.541.471.391.411.431.461.421.541.47
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.330.310.290.270.300.320.260.280.260.180.210.32
Free Cash Flow / Operating Cash Flow Ratio
0.370.130.040.340.560.410.420.370.590.710.550.55
Cash Flow Coverage Ratio
4.623.162.512.876.7113.446.595.767.5114.3013.206.71
Short Term Coverage Ratio
35.6621.9512.4710.8718.1127.6126.0517.7816.9238.5838.0118.11
Dividend Payout Ratio
32.65%82.32%-93.29%0.05%33.81%27.53%41.70%134.81%60.78%43.08%62.84%33.81%