Pool
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
24.9223.60
Price/Sales ratio
2.342.28
Earnings per Share (EPS)
$13.03$13.76

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
25.3727.1429.3327.6225.5532.3440.7334.6815.9129.4929.2225.55
Price/Sales ratio
1.251.471.691.891.992.643.794.261.922.782.461.99
Price/Book Value ratio
11.4913.6121.2923.7226.8020.6223.3621.069.6411.759.1520.62
Price/Cash Flow ratio
23.0623.8426.4130.2050.5028.3137.5771.9924.5717.3720.9128.31
Price/Free Cash Flow ratio
26.8829.7733.3438.9568.8131.8739.7481.8227.0018.6323.2931.87
Price/Earnings Growth ratio
1.331.411.500.871.062.501.040.440.96-1.024.341.06
Dividend Yield
1.33%1.23%1.13%1.09%1.15%0.99%0.61%0.52%1.26%1.08%1.36%1.15%
Profitability Indicator Ratios
Gross Profit Margin
28.63%28.59%28.82%28.88%29.02%28.90%28.72%30.53%31.28%29.95%29.64%29.02%
Operating Profit Margin
8.40%9.14%9.95%10.19%10.46%10.66%11.78%15.72%16.59%13.48%11.93%10.46%
Pretax Profit Margin
8.07%8.80%9.38%9.65%9.77%9.92%11.47%15.56%15.93%12.41%10.96%9.77%
Net Profit Margin
4.92%5.42%5.79%6.87%7.82%8.17%9.31%12.28%12.11%9.44%8.41%7.82%
Effective Tax Rate
38.90%38.49%38.50%28.97%20.05%17.69%18.87%21.09%24.04%23.99%23.22%20.05%
Return on Assets
12.39%13.70%14.98%17.40%18.89%17.63%21.08%20.14%20.99%15.26%13.31%17.63%
Return On Equity
45.30%50.15%72.58%85.87%104.86%63.77%57.35%60.72%60.59%39.85%32.52%63.77%
Return on Capital Employed
31.42%34.25%36.66%36.48%33.56%31.23%36.93%33.50%35.49%28.11%24.08%31.23%
Liquidity Ratios
Current Ratio
2.182.172.342.432.992.492.32N/AN/AN/A2.392.49
Quick Ratio
0.580.610.700.760.790.690.700.570.630.580.770.77
Cash ratio
0.050.040.070.090.050.070.070.030.060.080.120.05
Days of Sales Outstanding
22.8524.2123.5825.6925.2925.8426.8125.9520.7522.5829.1725.29
Days of Inventory outstanding
106.31102.5896.9798.75115.36112.69101.59132.87136.76128.40114.97112.69
Operating Cycle
129.16126.79120.56124.44140.66138.53128.41158.82157.52150.98144.14140.66
Days of Payables Outstanding
53.7953.3246.0245.1440.7942.0334.7039.5634.9547.8339.1242.03
Cash Conversion Cycle
75.3673.4674.5379.2999.8696.4993.71119.26122.56103.15105.0299.86
Debt Ratios
Debt Ratio
0.350.350.440.470.530.460.350.440.460.330.270.46
Debt Equity Ratio
1.311.282.132.322.981.680.971.331.340.870.641.68
Long-term Debt to Capitalization
0.560.560.680.690.740.600.460.550.550.430.380.60
Total Debt to Capitalization
0.560.560.680.690.740.620.490.570.570.460.390.62
Interest Coverage Ratio
25.2326.7817.6618.7215.0214.3538.12N/AN/AN/A12.2414.35
Cash Flow to Debt Ratio
0.370.440.370.330.170.430.630.210.290.770.670.17
Company Equity Multiplier
3.653.664.844.935.543.612.723.012.882.612.353.61
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.050.060.060.060.030.090.100.050.070.160.110.03
Free Cash Flow / Operating Cash Flow Ratio
0.850.800.790.770.730.880.940.870.910.930.890.73
Cash Flow Coverage Ratio
0.370.440.370.330.170.430.630.210.290.770.670.17
Short Term Coverage Ratio
79.6685.91149.6616.1812.944.385.463.874.826.9714.0212.94
Dividend Payout Ratio
33.96%33.61%33.39%30.28%29.61%32.02%25.06%18.37%20.12%32.00%39.39%29.61%