SFS Group AG
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
16.3115.2013.17
Price/Sales ratio
1.461.411.36
Earnings per Share (EPS)
CHF7.74CHF8.30CHF9.58

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
25.7725.2125.5426.6814.4517.0021.4119.3912.5815.2319.4514.45
Price/Sales ratio
2.051.912.152.571.581.942.302.491.221.301.601.58
Price/Book Value ratio
1.571.473.183.922.352.853.123.302.612.983.392.35
Price/Cash Flow ratio
14.1712.4212.8318.7310.5712.5713.2314.5411.6112.9215.3510.57
Price/Free Cash Flow ratio
27.2321.4119.5743.4023.7321.2720.3623.2128.4229.0630.2723.73
Price/Earnings Growth ratio
1.72-2.661.310.960.682.64-2.050.591.86-9.620.192.64
Dividend Yield
1.14%2.23%1.82%1.54%2.55%2.14%1.71%1.42%2.44%2.39%1.98%2.14%
Profitability Indicator Ratios
Gross Profit Margin
62.61%61.11%64.11%63.90%63.90%64.12%27.60%30.75%26.74%57.07%41.56%64.12%
Operating Profit Margin
10.09%8.13%10.22%11.42%13.72%13.05%12.63%15.01%11.23%11.54%11.48%13.05%
Pretax Profit Margin
9.70%9.54%10.78%12.06%13.40%12.77%12.87%15.86%12.29%11.33%10.75%12.77%
Net Profit Margin
7.95%7.58%8.42%9.65%10.99%11.42%10.77%12.84%9.73%8.56%8.26%11.42%
Effective Tax Rate
17.82%19.78%20.15%19.96%17.52%10.10%16.15%17.84%19.95%23.76%23.57%17.52%
Return on Assets
4.89%4.79%8.30%10.47%11.90%12.52%10.91%13.25%10.36%10.44%9.67%12.52%
Return On Equity
6.12%5.83%12.48%14.70%16.31%16.81%14.58%17.02%20.75%19.59%17.98%16.31%
Return on Capital Employed
7.05%5.68%12.19%15.50%18.02%17.16%15.36%18.48%14.81%17.02%18.17%18.02%
Liquidity Ratios
Current Ratio
2.653.332.962.602.943.063.17N/AN/AN/A2.063.06
Quick Ratio
1.632.081.891.581.731.812.032.171.441.821.211.81
Cash ratio
0.510.760.640.360.450.480.660.950.440.510.260.48
Days of Sales Outstanding
79.6472.6677.6979.9965.4763.6178.4066.2763.1853.8662.7063.61
Days of Inventory outstanding
193.02176.61193.13191.03197.38193.0594.54105.23122.54150.79117.25193.05
Operating Cycle
272.66249.27270.83271.02262.85256.67172.94171.51185.72204.66179.95256.67
Days of Payables Outstanding
83.6552.6966.0677.8970.8866.7240.1635.0036.8651.1534.5066.72
Cash Conversion Cycle
189.01196.58204.76193.12191.96189.94132.78136.50148.86153.50145.44189.94
Debt Ratios
Debt Ratio
0.020.010.110.050.040.030.020.000.270.260.240.04
Debt Equity Ratio
0.020.010.160.070.050.050.030.000.540.490.440.05
Long-term Debt to Capitalization
0.000.000.120.030.030.040.030.000.340.310.200.03
Total Debt to Capitalization
0.020.010.140.060.050.040.030.000.350.330.300.05
Interest Coverage Ratio
11.4640.7147.7340.6555.7445.66117.15N/AN/AN/A14.3845.66
Cash Flow to Debt Ratio
3.947.161.482.903.734.476.8347.790.410.460.504.47
Company Equity Multiplier
1.251.211.501.401.361.341.331.282.001.871.801.36
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.140.150.160.130.150.150.170.170.100.100.100.15
Free Cash Flow / Operating Cash Flow Ratio
0.520.580.650.430.440.590.640.620.400.440.500.44
Cash Flow Coverage Ratio
3.947.161.482.903.734.476.8347.790.410.460.504.47
Short Term Coverage Ratio
5.2312.288.736.5111.9728.32165.22191.1710.628.531.1828.32
Dividend Payout Ratio
29.48%56.29%46.63%41.23%36.92%36.53%36.70%27.68%30.74%36.54%38.64%36.92%