Rayonier Advanced Materials
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
32.31
Price/Sales ratio
0.19
Earnings per Share (EPS)
$0.16

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
29.667.518.952.735.44-1.77412.33-7.57-24.54-2.58-25.56-1.77
Price/Sales ratio
0.980.430.750.920.320.110.230.250.350.160.210.11
Price/Book Value ratio
-14.73-24.293.081.270.980.300.590.440.740.350.440.44
Price/Cash Flow ratio
5.002.042.816.822.814.983.321.568.891.935.392.81
Price/Free Cash Flow ratio
8.323.334.5716.146.05-3.438.772.65-8.8930.64-5.34-3.43
Price/Earnings Growth ratio
-0.340.100.390.00-0.070.00-4.090.000.51-0.000.11-0.07
Dividend Yield
0.62%2.90%2.44%2.92%4.16%9.03%N/AN/AN/AN/AN/A9.03%
Profitability Indicator Ratios
Gross Profit Margin
23.35%21.46%20.94%14.46%16.12%3.04%7.93%5.32%7.16%5.36%7.17%7.17%
Operating Profit Margin
6.57%12.75%15.88%5.93%9.27%-4.67%1.55%-0.78%1.51%-3.97%1.50%1.50%
Pretax Profit Margin
4.22%8.82%12.88%35.90%8.06%-8.33%-2.64%-5.89%-1.39%-8.06%-1.37%-1.37%
Net Profit Margin
3.30%5.84%8.40%33.81%5.99%-6.64%0.05%-3.40%-1.45%-6.19%-0.84%-0.84%
Effective Tax Rate
21.72%33.73%34.82%5.79%25.58%20.27%102.17%42.16%-4.16%24.39%-22.14%20.27%
Return on Assets
2.42%4.27%5.13%12.29%4.77%-4.75%0.03%-1.96%-1.06%-4.66%-0.61%-0.61%
Return On Equity
-49.68%-323.52%34.43%46.83%18.10%-17.27%0.14%-5.89%-3.01%-13.64%-1.83%-1.83%
Return on Capital Employed
5.36%10.38%10.64%2.44%8.57%-3.78%1.20%-0.52%1.30%-3.61%1.10%1.10%
Liquidity Ratios
Current Ratio
2.432.494.092.101.932.002.16N/AN/AN/A10.851.93
Quick Ratio
1.361.523.171.121.061.121.361.531.190.9725.961.06
Cash ratio
0.500.762.580.310.290.220.320.710.420.2010.850.29
Days of Sales Outstanding
26.3926.7215.8068.8524.8837.3549.9252.6245.2248.1744.9524.88
Days of Inventory outstanding
69.7261.9462.88134.1365.5353.2753.2363.1660.7548.6960.7553.27
Operating Cycle
96.1288.6678.69202.9990.4190.62103.15115.79105.9796.8771.8390.62
Days of Payables Outstanding
32.1722.2219.3270.1237.0532.4835.7246.4037.5443.7037.5437.05
Cash Conversion Cycle
63.9466.4459.36132.8753.3658.1367.4269.3968.4353.1622.3958.13
Debt Ratios
Debt Ratio
0.720.660.550.460.440.430.420.370.360.350.640.44
Debt Equity Ratio
-14.80-50.473.691.781.681.581.551.141.021.031.831.68
Long-term Debt to Capitalization
1.071.020.780.630.620.600.600.520.500.500.500.60
Total Debt to Capitalization
1.071.020.780.640.620.610.600.530.500.500.500.61
Interest Coverage Ratio
5.043.994.011.403.37-1.290.51N/AN/AN/A0.38-1.29
Cash Flow to Debt Ratio
0.190.230.290.100.200.030.110.240.080.170.080.03
Company Equity Multiplier
-20.44-75.766.703.803.783.633.643.002.832.922.833.63
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.190.210.260.130.110.020.070.160.040.080.040.02
Free Cash Flow / Operating Cash Flow Ratio
0.600.610.610.420.46-1.450.370.59-10.06-1.00-1.45
Cash Flow Coverage Ratio
0.190.230.290.100.200.030.110.240.080.170.080.03
Short Term Coverage Ratio
22.3525.4424.1813.7916.452.217.296.104.725.484.912.21
Dividend Payout Ratio
18.61%21.81%21.91%8%22.65%-16.03%N/AN/AN/AN/AN/A-16.03%