Patterson-UTI Energy
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
6.532.60
Price/Sales ratio
0.180.17
Earnings per Share (EPS)
$0.82$2.07

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
14.69-7.44-12.34772.63-7.04-5.00-1.23-2.5023.5112.25-3.59-7.04
Price/Sales ratio
0.751.154.291.930.680.860.871.211.370.720.520.86
Price/Book Value ratio
0.820.851.741.140.640.750.491.022.180.620.860.64
Price/Cash Flow ratio
3.272.1912.8915.183.093.063.5417.256.423.002.343.06
Price/Free Cash Flow ratio
-7.388.5721.24-17.1425.366.117.41-23.2628.107.735.376.11
Price/Earnings Growth ratio
-1.110.02-1.67-7.620.00-0.11-0.010.11-0.190.550.260.00
Dividend Yield
2.43%2.68%0.59%0.35%1.35%1.52%1.90%0.94%1.18%3.31%4.07%1.35%
Profitability Indicator Ratios
Gross Profit Margin
10.91%-10.88%-43.82%-6.11%0.24%-12.42%-31.00%-42.3%11.97%14.55%7.32%0.24%
Operating Profit Margin
8.89%-21.51%-49.81%-12.41%-9.68%-18.68%-79.36%-49.94%-10.33%8.48%-12.63%-12.63%
Pretax Profit Margin
7.99%-23.39%-54.17%-13.90%-11.04%-21.46%-82.81%-53.03%6.34%7.40%-14.03%-14.03%
Net Profit Margin
5.11%-15.57%-34.79%0.25%-9.66%-17.23%-71.48%-48.41%5.84%5.93%-14.73%-14.73%
Effective Tax Rate
36.03%33.44%35.78%101.80%12.51%19.73%13.67%8.71%7.86%19.91%-4.77%19.73%
Return on Assets
3.01%-6.49%-8.37%0.10%-5.87%-9.58%-24.36%-22.21%4.91%3.31%-14.32%-9.58%
Return On Equity
5.59%-11.49%-14.16%0.14%-9.16%-15.02%-39.86%-40.82%9.28%5.11%-19.29%-15.02%
Return on Capital Employed
5.86%-9.63%-12.88%-5.61%-6.51%-11.42%-29.49%-26.87%-10.55%5.52%-14.35%-11.42%
Liquidity Ratios
Current Ratio
1.591.571.061.361.801.571.74N/AN/AN/A1.511.57
Quick Ratio
1.541.530.991.241.681.481.621.241.401.241.311.48
Cash ratio
0.070.360.130.070.460.430.820.260.240.180.130.43
Days of Sales Outstanding
85.4648.8559.8690.0661.7551.1253.4595.7878.0190.5858.6851.12
Days of Inventory outstanding
4.152.565.5910.097.214.778.198.009.0818.6211.737.21
Operating Cycle
89.6151.4165.46100.1568.9755.9061.65103.7987.10109.2170.4168.97
Days of Payables Outstanding
49.2414.4034.8246.6431.7722.4022.5535.9537.1255.0633.5031.77
Cash Conversion Cycle
40.3737.0030.6353.5037.1933.5039.0967.8449.9854.1536.9133.50
Debt Ratios
Debt Ratio
0.180.180.150.150.200.210.270.290.260.170.200.20
Debt Equity Ratio
0.330.330.260.210.310.340.450.530.500.260.340.31
Long-term Debt to Capitalization
0.250.230.210.170.240.250.300.340.330.200.250.24
Total Debt to Capitalization
0.250.240.210.170.240.250.310.340.330.210.250.24
Interest Coverage Ratio
8.96-8.03-11.65-6.67-2.41-6.130.17N/AN/AN/A-10.05-6.13
Cash Flow to Debt Ratio
0.731.170.500.340.650.710.300.110.670.771.060.65
Company Equity Multiplier
1.851.771.691.441.561.561.631.831.881.541.671.56
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.220.520.330.120.210.280.240.070.210.240.220.21
Free Cash Flow / Operating Cash Flow Ratio
-0.440.250.60-0.880.120.500.47-0.740.220.380.430.12
Cash Flow Coverage Ratio
0.731.170.500.340.650.710.300.110.670.771.060.65
Short Term Coverage Ratio
58.2915.79N/AN/AN/A70.0739.2913.85110.5114.42137.95137.95
Dividend Payout Ratio
35.83%-19.95%-7.39%276.05%-9.51%-7.61%-2.34%-2.37%27.86%40.61%-15.08%-7.61%