Richelieu Hardware Ltd.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
21.6620.1920.0118.56
Price/Sales ratio
1.290.890.770.67
Earnings per Share (EPS)
CA$2.01CA$2.16CA$2.18CA$2.35

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
21.1023.6224.9028.9721.6622.4324.9916.6912.9521.5523.9721.66
Price/Sales ratio
1.701.851.852.081.461.451.881.641.211.341.181.45
Price/Book Value ratio
3.573.823.964.513.123.023.863.552.662.652.333.02
Price/Cash Flow ratio
27.3250.8123.5135.0534.7417.1814.6122.66-60.318.877.6217.18
Price/Free Cash Flow ratio
31.6585.0127.9045.7949.1119.5215.9827.08-37.1310.518.9819.52
Price/Earnings Growth ratio
1.131.913.113.4725.35-26.470.860.240.70-0.64-2.06-26.47
Dividend Yield
0.99%0.88%0.79%0.68%0.96%0.95%0.52%0.81%1.33%1.39%1.55%0.96%
Profitability Indicator Ratios
Gross Profit Margin
11.96%27.86%27.29%26.60%27.07%26.97%26.80%28.43%28.13%12.88%12.04%26.97%
Operating Profit Margin
10.86%10.56%10.04%9.70%9.23%9.02%10.67%13.70%13.24%9.47%7.64%9.02%
Pretax Profit Margin
10.91%10.58%10.04%9.73%9.23%8.96%10.44%13.51%12.84%8.73%7.04%8.96%
Net Profit Margin
8.09%7.83%7.43%7.18%6.74%6.48%7.55%9.84%9.34%6.23%4.96%6.48%
Effective Tax Rate
25.52%25.82%25.68%25.92%26.70%27.46%27.29%26.91%26.63%27.12%26.64%27.46%
Return on Assets
13.40%13.05%12.92%12.47%11.90%11.11%11.05%14.70%13.11%8.47%6.54%11.11%
Return On Equity
16.94%16.18%15.93%15.59%14.41%13.47%15.46%21.27%20.60%12.31%9.83%13.47%
Return on Capital Employed
21.95%21.23%20.99%20.63%19.38%18.37%19.24%25.93%25.52%15.73%12.38%18.37%
Liquidity Ratios
Current Ratio
4.044.394.424.024.634.643.59N/AN/AN/A3.454.64
Quick Ratio
1.821.701.881.671.651.771.611.300.711.201.181.77
Cash ratio
0.470.380.520.290.080.250.500.280.060.190.180.08
Days of Sales Outstanding
52.9648.6747.4851.9650.4248.6850.7750.5744.9947.3449.4248.68
Days of Inventory outstanding
100.29139.34123.53123.24134.67132.02127.04140.02186.01134.14134.03132.02
Operating Cycle
153.26188.02171.01175.20185.10180.70177.82190.59231.01181.48183.45180.70
Days of Payables Outstanding
36.6842.5640.4041.4239.4038.3348.2442.7341.0835.8838.9738.33
Cash Conversion Cycle
116.57145.45130.61133.78145.70142.37129.57147.86189.92145.60144.47142.37
Debt Ratios
Debt Ratio
0.010.000.010.000.000.000.000.000.100.020.030.00
Debt Equity Ratio
0.010.000.010.000.000.010.010.000.170.030.040.00
Long-term Debt to Capitalization
0.000.000.00N/AN/AN/A0.000.000.000.000.00N/A
Total Debt to Capitalization
0.010.000.010.000.000.010.010.000.140.020.040.00
Interest Coverage Ratio
-239.09-531.752.73K-474.191.42K141.4144.90N/AN/AN/A12.70141.41
Cash Flow to Debt Ratio
7.557.6213.6713.0320.8915.5725.1516.21-0.259.676.6115.57
Company Equity Multiplier
1.261.231.231.251.211.211.391.441.571.451.481.21
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.060.030.070.050.040.080.120.07-0.020.150.150.04
Free Cash Flow / Operating Cash Flow Ratio
0.860.590.840.760.700.880.910.831.620.840.840.70
Cash Flow Coverage Ratio
7.557.6213.6713.0320.8915.5725.1516.21-0.259.676.6115.57
Short Term Coverage Ratio
12.0712.1615.3413.0320.8915.5740.5619.55-0.2610.597.0715.57
Dividend Payout Ratio
21.03%20.96%19.80%19.71%20.85%21.35%13.24%13.66%17.27%30.07%37.35%20.85%