PyroGenesis Canada
Financial ratios & Valuation

Historical Multiples (2013 – 2022)

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
-0.78-6.76-3.57-2.83-11.14-8.12-6.2013.34-14.52-5.37-4.03-11.14
Price/Sales ratio
0.543.842.813.779.5612.6712.7131.3617.969.097.6912.67
Price/Book Value ratio
-0.677.7028.56-4.47-11.20-63.39-10.069.3813.6910.247.18-11.20
Price/Cash Flow ratio
-1.92-4.47-5.10-14.36-40.16-19.45-19.29-684.01-30.81-15.53-15.07-40.16
Price/Free Cash Flow ratio
-1.60-4.39-5.05-10.80-19.81-13.47-14.70-341.86-28.10-14.62-14.54-19.81
Price/Earnings Growth ratio
-0.020.21-0.10-0.110.59-0.84-0.34-0.020.070.300.020.02
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
21.28%29.07%4.70%-37.92%43.47%22.05%26.96%57.96%40.01%42.83%39.12%22.05%
Operating Profit Margin
-59.23%-56.92%-71.95%-122.42%-32.20%-125.65%-125.00%-7.31%-55.81%-122.01%-106.14%-125.65%
Pretax Profit Margin
-69.28%-56.87%-78.78%-133.12%-85.83%-155.97%-190.51%240.79%-126.08%-168.78%-193.31%-155.97%
Net Profit Margin
-69.28%-56.87%-78.78%-133.12%-85.83%-155.97%-204.78%234.98%-123.70%-169.17%-190.41%-155.97%
Effective Tax Rate
-9.40%-6.68%-3.67%-9.19%-8.15%10.41%-7.49%2.41%1.88%-0.23%1.49%-8.15%
Return on Assets
-55.61%-47.27%-69.05%-213.98%-107.02%-89.56%-102.91%56.04%-55.08%-67.48%-78.80%-107.02%
Return On Equity
86.50%-113.90%-798.89%157.81%100.49%779.86%162.06%70.28%-94.26%-190.68%-133.64%779.86%
Return on Capital Employed
-96.04%-66.41%-113.87%799.78%37.77%-353.14%268.94%-2.06%-38.52%-106.08%-84.48%-353.14%
Liquidity Ratios
Current Ratio
0.621.751.050.480.200.410.112.19N/AN/A1.280.20
Quick Ratio
0.531.670.730.540.190.410.112.071.530.991.130.19
Cash ratio
0.320.180.240.090.050.090.001.560.490.130.080.05
Days of Sales Outstanding
48.91167.0373.8292.9168.5563.2579.0780.24277.52375.39441.1468.55
Days of Inventory outstanding
14.5313.1960.99-11.2211.10N/A0.0069.4217.3863.0044.9411.10
Operating Cycle
63.45180.22134.8281.6879.6663.2579.07149.67294.91438.40153.7179.66
Days of Payables Outstanding
48.7453.6187.8145.6987.07118.92316.25111.11109.71212.22143.7087.07
Cash Conversion Cycle
14.70126.6147.0035.98-7.41-55.67-237.1738.55185.19226.18308.51-7.41
Debt Ratios
Debt Ratio
1.130.290.531.300.790.340.800.040.100.140.550.55
Debt Equity Ratio
-1.770.716.17-0.95-0.74-3.03-1.250.050.170.401.25-0.74
Long-term Debt to Capitalization
2.290.410.84-4.51-0.001.56-1.710.040.090.150.11-0.00
Total Debt to Capitalization
2.290.410.86-23.66-2.941.494.840.040.150.290.21-2.94
Interest Coverage Ratio
-8.16-14.18-12.16-9.99-4.59-8.92-5.96-2.78N/AN/A-28.09-8.92
Cash Flow to Debt Ratio
-0.19-2.39-0.90-0.32-0.37-1.07-0.41-0.26-2.50-1.60-1.73-1.07
Company Equity Multiplier
-1.552.4011.56-0.73-0.93-8.70-1.571.251.712.822.25-0.93
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.28-0.85-0.55-0.26-0.23-0.65-0.65-0.04-0.58-0.58-0.51-0.65
Free Cash Flow / Operating Cash Flow Ratio
1.201.011.001.322.021.441.312.001.091.061.031.44
Cash Flow Coverage Ratio
-0.19-2.39-0.90-0.32-0.37-1.07-0.41-0.26-2.50-1.60-1.73-1.07
Short Term Coverage Ratio
-584.03-1.67K-7.28-2.21-0.37-12.62-0.83-3.42-6.00-2.98-3.38-3.38
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A