SFL Corporation Ltd.
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
7.786.40N/A
Price/Sales ratio
1.251.221.52
Earnings per Share (EPS)
$0.99$1.21N/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
10.737.719.4814.7815.14-27.56-1.9713.018.9816.969.37-27.56
Price/Sales ratio
4.023.803.363.922.663.411.451.931.741.911.663.41
Price/Book Value ratio
1.141.241.221.250.941.410.861.011.071.371.160.94
Price/Cash Flow ratio
9.955.996.038.415.546.262.473.393.294.153.816.26
Price/Free Cash Flow ratio
-5.01-6.4933.1115.56-1.197.434.37-3.45-4.7218.10-6.327.43
Price/Earnings Growth ratio
0.330.12-0.35-0.45-0.440.15-0.00-0.100.14-0.47-1.190.15
Dividend Yield
11.54%10.50%12.12%10.22%13.38%9.62%15.98%7.79%9.54%8.63%10.60%10.60%
Profitability Indicator Ratios
Gross Profit Margin
42.94%51.09%44.22%42.25%44.44%45.33%43.33%42.52%41.38%31.77%37.64%45.33%
Operating Profit Margin
44.32%40.82%40.70%40.59%28.08%49.44%42.74%47.30%41.09%32.26%35.66%28.08%
Pretax Profit Margin
37.50%49.37%35.45%26.57%17.58%19.43%-47.64%32.01%30.24%11.72%17.03%19.43%
Net Profit Margin
37.50%49.37%35.45%26.57%17.58%-12.37%-73.46%14.89%19.40%11.27%16.06%16.06%
Effective Tax Rate
58.25%29.79%14.81%52.77%180.80%163.65%-54.20%53.46%35.85%3.80%5.68%163.65%
Return on Assets
4.03%6.55%4.98%3.36%1.89%-1.46%-11.18%2.21%3.36%2.24%3.45%1.89%
Return On Equity
10.64%16.17%12.90%8.46%6.23%-5.13%-43.49%7.78%11.91%8.07%13.30%6.23%
Return on Capital Employed
5.13%5.87%6.22%5.79%3.38%6.44%8.00%7.93%9.82%8.69%9.39%3.38%
Liquidity Ratios
Current Ratio
1.591.571.160.921.021.060.61N/AN/AN/A0.491.06
Quick Ratio
1.551.551.140.901.001.040.600.600.260.290.491.04
Cash ratio
0.230.290.260.440.520.540.370.360.170.170.210.54
Days of Sales Outstanding
173.5842.8117.389.2239.0021.4611.1446.2210.7936.283.2221.46
Days of Inventory outstanding
13.539.278.058.5013.4111.5412.0412.5215.228.42N/A11.54
Operating Cycle
187.1152.0925.4317.7352.4133.0023.1958.7526.0244.713.2233.00
Days of Payables Outstanding
4.751.531.940.803.055.011.702.187.3221.74N/A5.01
Cash Conversion Cycle
182.3650.5623.4916.9249.3627.9921.4856.5618.6922.963.2227.99
Debt Ratios
Debt Ratio
0.560.540.520.490.380.410.530.540.570.570.630.38
Debt Equity Ratio
1.501.341.361.251.261.452.071.922.012.062.281.26
Long-term Debt to Capitalization
0.570.540.540.490.490.550.590.610.530.620.650.49
Total Debt to Capitalization
0.600.570.570.550.550.590.670.650.660.670.690.55
Interest Coverage Ratio
1.773.412.851.881.551.441.51N/AN/AN/A2.281.55
Cash Flow to Debt Ratio
0.070.150.140.110.130.150.160.150.160.150.130.15
Company Equity Multiplier
2.632.462.592.523.283.513.883.523.533.583.593.28
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.400.630.550.460.470.540.580.570.520.460.390.54
Free Cash Flow / Operating Cash Flow Ratio
-1.98-0.920.180.54-4.660.840.56-0.98-0.690.22-0.66-4.66
Cash Flow Coverage Ratio
0.070.150.140.110.130.150.160.150.160.150.130.15
Short Term Coverage Ratio
0.721.241.310.560.640.960.560.960.380.790.880.64
Dividend Payout Ratio
123.87%80.96%114.94%151.08%202.73%-265.39%-31.61%101.41%85.78%146.52%95.49%-265.39%