Pembina Pipeline
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
11.3610.79
Price/Sales ratio
2.172.07
Earnings per Share (EPS)
CA$3.37CA$3.55

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
36.0325.7634.9321.8616.0016.51-52.3816.998.5514.1215.3516.51
Price/Sales ratio
2.272.253.813.602.783.402.662.442.182.743.952.78
Price/Book Value ratio
2.171.401.961.411.421.471.101.471.611.581.791.42
Price/Cash Flow ratio
17.2513.0615.1112.879.069.737.357.968.679.529.639.06
Price/Free Cash Flow ratio
-22.55-10.35-24.37-59.7519.8627.7813.5310.5910.9312.3613.4027.78
Price/Earnings Growth ratio
-8.07-5.51N/A0.260.452.610.43-0.030.05-0.33-9.982.61
Dividend Yield
1.94%2.81%2.15%4.00%6.09%5.36%9.24%7.20%6.49%6.29%5.19%5.36%
Profitability Indicator Ratios
Gross Profit Margin
14.43%18.68%23.47%27.40%31.65%33.65%32.37%30.68%26.89%31.12%37.81%31.65%
Operating Profit Margin
11.56%14.77%18.92%22.52%27.49%25.20%28.70%24.51%22.34%29.09%34.72%27.49%
Pretax Profit Margin
9.42%13.24%15.33%19.10%23.69%21.13%-6.70%19.29%27.72%23.98%20.41%21.13%
Net Profit Margin
6.31%8.75%10.92%16.47%17.38%20.63%-5.09%14.39%25.58%19.46%25.73%17.38%
Effective Tax Rate
29.19%32.41%28.89%13.74%26.63%2.35%24.03%25.40%7.70%18.86%-13.23%2.35%
Return on Assets
3.40%3.13%3.10%3.48%4.79%4.50%-1.00%3.94%9.43%5.44%5.61%4.79%
Return On Equity
6.04%5.46%5.61%6.46%8.90%8.92%-2.11%8.68%18.88%11.23%12.06%8.90%
Return on Capital Employed
6.64%5.57%5.67%4.98%8.02%5.74%6.00%7.27%8.81%9.03%8.10%8.02%
Liquidity Ratios
Current Ratio
0.971.050.860.890.670.670.55N/AN/AN/A0.640.67
Quick Ratio
0.780.870.630.740.540.590.430.360.530.710.500.59
Cash ratio
0.070.040.040.280.100.080.040.010.040.040.040.08
Days of Sales Outstanding
9.268.7437.2234.5524.8229.0237.5433.0021.8727.9248.4224.82
Days of Inventory outstanding
9.6211.6220.2415.6114.389.5819.2322.9411.5619.3324.4314.38
Operating Cycle
18.8920.3657.4650.1739.2138.6156.7855.9533.4447.2572.8639.21
Days of Payables Outstanding
31.2036.1253.1143.2337.7054.5537.7738.1424.5532.2390.0937.70
Cash Conversion Cycle
-12.31-15.764.356.941.50-15.9419.0117.808.8915.02-17.22-15.94
Debt Ratios
Debt Ratio
0.250.250.270.290.280.300.340.350.330.320.350.28
Debt Equity Ratio
0.450.440.500.540.520.600.720.780.670.660.740.52
Long-term Debt to Capitalization
0.310.300.330.340.320.370.400.410.380.380.400.32
Total Debt to Capitalization
0.310.300.330.350.340.370.420.440.400.390.420.34
Interest Coverage Ratio
6.845.767.836.405.555.394.27N/AN/AN/A4.855.39
Cash Flow to Debt Ratio
0.270.240.250.200.290.240.200.230.270.250.240.24
Company Equity Multiplier
1.771.741.811.851.851.982.102.192.002.062.081.85
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.130.170.250.270.300.350.360.300.250.280.410.30
Free Cash Flow / Operating Cash Flow Ratio
-0.76-1.26-0.62-0.210.450.350.540.750.790.770.710.45
Cash Flow Coverage Ratio
0.270.240.250.200.290.240.200.230.270.250.240.24
Short Term Coverage Ratio
200160.2179.55.914.734.213.752.654.884.053.3534.21
Dividend Payout Ratio
70.23%72.41%75.32%87.65%97.57%88.67%-484.17%122.46%55.57%88.90%83.56%88.67%