Park-Ohio Holdings Corp.
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
4.83N/A
Price/Sales ratio
0.130.12
Earnings per Share (EPS)
$3.95N/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
16.729.3216.2619.607.0110.65-77.64-9.9813.0842.5019.217.01
Price/Sales ratio
0.550.300.400.390.220.250.280.180.090.190.210.25
Price/Book Value ratio
4.102.182.282.031.251.221.080.820.581.180.961.22
Price/Cash Flow ratio
14.2210.037.0712.006.866.455.37-5.99-5.606.568.446.86
Price/Free Cash Flow ratio
27.4354.7211.6029.8138.7717.438.66-3.49-2.7814.8642.6538.77
Price/Earnings Growth ratio
5.082.06-0.48-1.830.08-0.380.68-0.02-0.09-1.31-1.12-0.38
Dividend Yield
0.61%1.40%1.20%1.23%1.70%1.70%0.85%2.69%4.69%2.23%1.93%1.70%
Profitability Indicator Ratios
Gross Profit Margin
17.00%16.06%15.89%16.60%16.37%16.08%13.01%10.85%14.10%16.35%16.95%16.37%
Operating Profit Margin
7.10%6.68%5.41%6.38%5.86%5.13%1.77%-0.86%3.97%5.41%5.51%5.51%
Pretax Profit Margin
5.20%4.78%3.21%3.37%4.33%3.39%-0.56%-2.26%0.71%2.50%2.81%3.39%
Net Profit Margin
3.30%3.28%2.48%2.02%3.23%2.38%-0.37%-1.80%0.76%0.47%1.01%2.38%
Effective Tax Rate
34.67%30.42%21.46%38.15%23.11%27.68%34.24%20%-6.54%20.48%56.65%23.11%
Return on Assets
4.68%5.08%3.25%2.52%4.43%2.94%-0.36%-1.91%0.79%0.58%1.19%2.94%
Return On Equity
24.56%23.42%14.02%10.36%17.92%11.50%-1.39%-8.27%4.44%2.78%5.60%11.50%
Return on Capital Employed
13.78%13.57%9.44%10.53%10.69%8.26%2.31%-1.23%6.01%9.20%8.74%8.74%
Liquidity Ratios
Current Ratio
2.202.442.282.422.412.372.30N/AN/AN/A2.452.41
Quick Ratio
1.301.331.291.401.341.301.281.121.171.131.251.30
Cash ratio
0.210.270.260.290.180.180.170.150.120.150.160.18
Days of Sales Outstanding
62.1649.6955.5674.1672.7972.8585.9570.7160.2171.0760.9072.85
Days of Inventory outstanding
76.0473.9781.7787.6083.6587.94100.72109.02115.69108.08114.2683.65
Operating Cycle
138.21123.67137.34161.77156.45160.79186.67179.74175.91179.16175.16156.45
Days of Payables Outstanding
51.1338.5345.4053.8046.8047.0354.0050.7662.9053.6353.6046.80
Cash Conversion Cycle
87.0785.1391.93107.96109.65113.75132.67128.97113.01125.52121.56109.65
Debt Ratios
Debt Ratio
0.450.480.480.470.460.470.460.430.490.470.470.46
Debt Equity Ratio
2.392.252.071.931.891.861.741.882.762.281.961.89
Long-term Debt to Capitalization
0.700.680.660.650.640.640.620.650.730.680.650.64
Total Debt to Capitalization
0.700.690.670.650.650.650.630.650.730.690.660.65
Interest Coverage Ratio
3.753.582.592.752.782.450.51N/AN/AN/A1.912.45
Cash Flow to Debt Ratio
0.120.090.150.080.090.100.11-0.07-0.030.070.050.10
Company Equity Multiplier
5.244.614.314.104.043.903.774.325.604.784.184.04
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.030.030.050.030.030.030.05-0.03-0.010.030.020.03
Free Cash Flow / Operating Cash Flow Ratio
0.510.180.600.400.170.370.621.712.010.440.220.17
Cash Flow Coverage Ratio
0.120.090.150.080.090.100.11-0.07-0.030.070.050.10
Short Term Coverage Ratio
5.702.512.362.633.062.212.82-6.87-2.442.523.743.06
Dividend Payout Ratio
10.30%13.09%19.55%24.12%11.94%18.13%-66.66%-26.92%61.40%94.87%47.02%11.94%