Rieter Holding AG
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
17.4112.5312.00
Price/Sales ratio
0.630.580.52
Earnings per Share (EPS)
CHF10.13CHF14.08CHF14.70

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
14.3617.2118.8681.5018.0111.85-4.8225.1038.975.466.1011.85
Price/Sales ratio
0.650.820.841.110.530.810.750.820.310.280.350.81
Price/Book Value ratio
1.711.931.742.351.281.321.232.011.311.070.961.32
Price/Cash Flow ratio
8.469.617.8252.227.33-13.58-8.694.80-6.185.837.357.33
Price/Free Cash Flow ratio
16.0014.9011.21-122.2511.68-8.03-5.526.26-3.8315.2023.1311.68
Price/Earnings Growth ratio
0.41-3.30-1.34-1.180.120.180.01-0.18-0.630.01-8.280.18
Dividend Yield
2.10%2.40%2.55%2.10%3.93%3.62%4.64%N/A3.81%1.65%3.52%3.62%
Profitability Indicator Ratios
Gross Profit Margin
51.86%53.38%54.13%54.83%52.14%27.64%23.35%28.52%21.77%26.80%29.70%29.70%
Operating Profit Margin
7.33%7.05%5.97%1.63%4.01%-0.98%-15.27%4.91%2.13%7.16%5.36%4.01%
Pretax Profit Margin
6.18%6.28%5.69%1.65%3.96%11.23%-15.35%4.26%1.13%6.38%6.99%3.96%
Net Profit Margin
4.57%4.79%4.48%1.36%2.96%6.89%-15.67%3.27%0.80%5.21%5.77%2.96%
Effective Tax Rate
25.80%23.61%20.63%16.87%24.88%38.64%-2.04%23.24%29.23%18.32%17.46%38.64%
Return on Assets
4.36%4.96%4.24%1.25%3.18%5.33%-9.32%2.20%0.78%5.64%5.02%3.18%
Return On Equity
11.97%11.22%9.22%2.88%7.15%11.17%-25.61%8.00%3.36%19.64%16.14%7.15%
Return on Capital Employed
12.27%10.51%8.15%2.17%6.33%-1.31%-16.34%6.88%4.95%17.15%8.94%6.33%
Liquidity Ratios
Current Ratio
1.582.062.141.851.801.381.29N/AN/AN/A0.891.38
Quick Ratio
1.091.431.601.251.220.930.840.630.530.490.440.93
Cash ratio
0.641.061.190.750.790.690.650.330.190.180.160.69
Days of Sales Outstanding
23.2522.4222.9433.3727.2232.7532.1045.9451.2335.7134.8627.22
Days of Inventory outstanding
166.39144.62137.44161.03132.37121.40159.97131.52112.19100.50130.26121.40
Operating Cycle
189.65167.05160.38194.40159.60154.15192.08177.46163.43136.21165.12159.60
Days of Payables Outstanding
70.7365.1766.8673.8268.3145.7339.6461.7549.9635.6837.1645.73
Cash Conversion Cycle
118.91101.8793.51120.5891.28108.42152.44115.70113.46100.53127.9691.28
Debt Ratios
Debt Ratio
0.220.120.100.100.100.120.230.260.280.220.270.10
Debt Equity Ratio
0.620.270.230.240.230.250.640.951.200.770.860.23
Long-term Debt to Capitalization
0.190.190.170.180.19N/A0.180.300.320.200.280.19
Total Debt to Capitalization
0.380.210.190.190.190.200.390.480.540.430.460.19
Interest Coverage Ratio
6.398.519.6716.609.48-3.08-16.2N/AN/AN/A5.91-3.08
Cash Flow to Debt Ratio
0.320.730.930.180.73-0.38-0.210.43-0.170.230.15-0.38
Company Equity Multiplier
2.742.262.172.292.242.092.743.624.283.473.122.24
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.070.080.100.020.07-0.06-0.080.17-0.050.040.04-0.06
Free Cash Flow / Operating Cash Flow Ratio
0.520.640.69-0.420.621.691.570.761.610.380.311.69
Cash Flow Coverage Ratio
0.320.730.930.180.73-0.38-0.210.43-0.170.230.15-0.38
Short Term Coverage Ratio
0.536.3111.232.82392-0.38-0.330.80-0.290.360.28-0.38
Dividend Payout Ratio
30.30%41.44%48.11%171.21%70.84%42.93%-22.38%N/A148.76%9.05%21.6%42.93%