SalMar ASA
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
13.7712.848.75
Price/Sales ratio
2.092.021.71
Earnings per Share (EPS)
NOK44.39NOK47.59NOK69.8

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
11.9715.7310.9711.8913.5620.3628.7426.8813.9123.3621.4913.56
Price/Sales ratio
1.982.373.222.514.264.144.404.672.282.662.704.14
Price/Book Value ratio
2.813.374.383.565.355.625.775.312.383.754.125.62
Price/Cash Flow ratio
8.6710.7010.628.0117.4016.7217.8924.1910.918.3312.8916.72
Price/Free Cash Flow ratio
23.5219.3817.7811.0926.3730.12-98.66102.8326.0811.2924.8930.12
Price/Earnings Growth ratio
-0.36-2.090.07-0.850.23-0.66-1.390.920.62-1.961.070.23
Dividend Yield
6.29%6.47%3.88%5.04%4.43%5.11%2.58%3.21%5.10%3.67%6.42%4.43%
Profitability Indicator Ratios
Gross Profit Margin
51.39%49.53%63.70%44.53%65.63%49.28%51.06%56.84%52.37%59.07%30.66%49.28%
Operating Profit Margin
22.91%19.70%34.42%25.96%37.96%24.79%21.90%22.93%17.58%30.28%23.32%24.79%
Pretax Profit Margin
22.66%18.88%37.28%26.55%39.25%25.80%19.91%22.51%22.63%25.90%15.68%25.80%
Net Profit Margin
16.59%15.05%29.42%21.14%31.46%20.33%15.32%17.39%16.42%11.39%12.36%20.33%
Effective Tax Rate
25.37%18.42%20.67%19.55%19.61%19.43%21.90%21.22%20.91%62.28%22.82%19.61%
Return on Assets
11.77%10.08%19.67%17.59%23.57%13.83%8.99%9.31%5.29%6.00%5.97%13.83%
Return On Equity
23.48%21.43%39.96%29.99%39.43%27.62%20.08%19.77%17.11%16.09%17.64%27.62%
Return on Capital Employed
19.16%15.66%29.06%27.41%36.80%20.59%16.38%14.74%7.77%19.54%14.11%20.59%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/A1.67N/AN/AN/A1.63N/A
Quick Ratio
0.870.780.420.330.330.400.260.490.960.330.210.40
Cash ratio
0.080.120.070.030.040.040.010.160.000.080.040.04
Days of Sales Outstanding
45.1140.6324.2617.0020.2722.0516.6422.6825.6018.92N/A22.05
Days of Inventory outstanding
347.04358.81585.80268.90539.89363.99385.27445.68482.30460.08312.08363.99
Operating Cycle
392.15399.44610.06285.91560.16386.05401.92468.36507.91479.01312.08386.05
Days of Payables Outstanding
42.7864.10134.5576.42111.8776.74118.78130.26126.90125.8885.1776.74
Cash Conversion Cycle
349.36335.34475.51209.48448.28309.30283.14338.09381.00353.12226.91309.30
Debt Ratios
Debt Ratio
0.200.220.160.080.090.170.230.190.340.260.330.09
Debt Equity Ratio
0.400.480.340.130.150.340.510.411.120.691.070.15
Long-term Debt to Capitalization
0.250.310.230.090.070.230.270.270.480.380.470.07
Total Debt to Capitalization
0.280.320.250.120.130.250.340.290.520.410.510.13
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/A18.92N/AN/AN/A5.53N/A
Cash Flow to Debt Ratio
0.800.641.193.191.950.960.620.530.190.640.290.96
Company Equity Multiplier
1.992.122.031.701.671.992.232.123.222.673.211.67
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.220.220.300.310.240.240.240.190.200.310.200.24
Free Cash Flow / Operating Cash Flow Ratio
0.360.550.590.720.650.55-0.180.230.410.730.520.55
Cash Flow Coverage Ratio
0.800.641.193.191.950.960.620.530.190.640.290.96
Short Term Coverage Ratio
5.9511.5513.7113.853.797.942.205.091.225.341.977.94
Dividend Payout Ratio
75.32%101.95%42.69%60.06%60.17%104.21%74.27%86.41%71.07%85.78%143.87%60.17%