Publicis Groupe S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
12.2311.6311.75
Price/Sales ratio
N/AN/AN/A
Earnings per Share (EPS)
$1.88$1.98$1.95

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
18.3315.22-27.7014.5112.312.814.203.593.044.053.603.60
Price/Sales ratio
1.811.421.501.291.130.210.220.310.260.351.341.13
Price/Book Value ratio
2.162.092.412.101.650.310.330.430.380.540.650.65
Price/Cash Flow ratio
12.779.7613.628.415.821.000.812.061.532.592.422.42
Price/Free Cash Flow ratio
14.6911.6816.249.266.521.120.862.231.672.8410.696.52
Price/Earnings Growth ratio
-1.530.610.17-0.052.340.01-0.120.040.160.651.011.01
Dividend Yield
0.84%1.74%1.32%1.35%1.85%12.05%4.21%6.14%16.21%13.64%3.59%1.85%
Profitability Indicator Ratios
Gross Profit Margin
38.74%38.76%15.51%10.27%15.65%14.28%12.92%13.94%14.51%43.23%31.92%15.65%
Operating Profit Margin
14.73%14.35%0.09%13.58%13.09%11.51%9.11%12.21%16.61%11.75%14.90%13.09%
Pretax Profit Margin
14.34%13.42%-1.77%12.27%12.25%10.48%7.11%11.44%11.60%11.69%12.43%12.25%
Net Profit Margin
9.92%9.38%-5.41%8.89%9.23%7.64%5.33%8.74%8.60%8.86%9.41%9.23%
Effective Tax Rate
29.87%29.94%-197.68%26.24%23.37%26.42%25.52%22.85%26.15%23.97%23.93%23.37%
Return on Assets
3.49%3.54%-2.11%3.62%3.39%2.57%1.90%3.12%3.40%3.57%5.02%3.39%
Return On Equity
11.83%13.74%-8.70%14.47%13.41%11.36%8.02%11.95%12.68%13.40%18.33%13.41%
Return on Capital Employed
12.51%12.69%0.08%13.50%11.08%8.61%7.34%9.80%15.21%11.69%20.14%11.08%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A0.89N/A
Quick Ratio
0.940.830.880.910.910.850.880.920.920.920.870.85
Cash ratio
0.260.110.150.170.200.190.220.200.220.190.140.19
Days of Sales Outstanding
386.18370.01375.38367.26366.39372.76351.77382.28340.36362.41280.33372.76
Days of Inventory outstanding
26.2825.5118.0216.1615.9615.908.9310.009.8314.8113.4615.90
Operating Cycle
412.46395.53393.40383.42382.35388.67360.70392.29350.20377.22293.79388.67
Days of Payables Outstanding
791.76730.49532.29484.52529.51519.08500.71523.19471.02741.77445.58519.08
Cash Conversion Cycle
-379.30-334.96-138.88-101.10-147.16-130.41-140.01-130.90-120.82-364.54-151.78-130.41
Debt Ratios
Debt Ratio
0.100.130.130.130.100.180.150.110.110.090.080.18
Debt Equity Ratio
0.340.530.560.530.420.830.640.430.410.340.320.83
Long-term Debt to Capitalization
0.200.310.320.310.260.360.330.280.230.200.140.36
Total Debt to Capitalization
0.250.340.360.340.300.450.390.300.290.250.240.45
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A14.02N/A
Cash Flow to Debt Ratio
0.490.400.310.470.660.380.640.470.600.610.840.66
Company Equity Multiplier
3.383.884.113.993.954.414.193.823.723.753.624.41
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.140.110.150.190.210.270.150.170.130.130.21
Free Cash Flow / Operating Cash Flow Ratio
0.860.830.830.900.890.900.940.920.910.910.890.89
Cash Flow Coverage Ratio
0.490.400.310.470.660.380.640.470.600.610.840.66
Short Term Coverage Ratio
1.932.872.113.933.771.253.135.932.382.311.751.25
Dividend Payout Ratio
15.41%26.63%-36.62%19.72%22.85%33.88%17.70%22.10%49.34%55.33%60.28%22.85%