SEGRO
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
1.39K1.17K3.35K3.08K
Price/Sales ratio
2.27K2.01K1.95K1.13K
Earnings per Share (EPS)
Β£1.02Β£1.22Β£0.42Β£0.46

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
3.844.478.175.955.5811.307.634.23-4.78-42.25-904.4311.30
Price/Sales ratio
11.5613.4213.9819.1016.0822.4325.2331.5113.7714.2712.7622.43
Price/Book Value ratio
0.900.870.811.010.901.261.121.280.810.980.761.26
Price/Cash Flow ratio
21.3334.8433.72-233.6629.6346.1354.6655.3243.2524.8023.5546.13
Price/Free Cash Flow ratio
22.0935.6934.93-215.8929.8746.7356.0456.5945.1626.5926.4746.73
Price/Earnings Growth ratio
0.01N/A-0.190.070.78-0.450.130.020.030.48-7.48K-0.45
Dividend Yield
4.18%2.99%2.60%2.07%2.02%1.46%1.64%1.02%2.40%1.73%4.06%2.02%
Profitability Indicator Ratios
Gross Profit Margin
81.40%82.91%80.78%82.30%79.26%70.56%75.00%73.44%67.41%78.50%81.74%79.26%
Operating Profit Margin
68.66%68.59%68.33%69.17%67.56%62.26%70.23%48.53%29.44%-24.03%80.51%67.56%
Pretax Profit Margin
288.40%301.49%174.68%328.49%297.85%161.59%284.36%713.18%-272.49%-35.11%7.22%161.59%
Net Profit Margin
300.57%299.73%171.11%320.55%287.96%198.35%330.55%743.58%-288.04%-33.77%-1.36%198.35%
Effective Tax Rate
4.21%0.53%1.80%2.04%3.00%5.92%2.85%7.39%2.02%3.80%28.30%3.00%
Return on Assets
14.16%12.26%6.83%12.00%11.58%8.50%11.26%22.83%-11.10%-1.46%-0.05%8.50%
Return On Equity
23.60%19.55%9.98%17.05%16.18%11.17%14.77%30.21%-16.94%-2.32%-0.08%11.17%
Return on Capital Employed
3.51%2.93%2.85%2.67%2.81%2.75%2.46%1.53%1.17%-1.08%3.47%2.81%
Liquidity Ratios
Current Ratio
1.091.940.661.050.841.001.11N/AN/AN/A1.300.84
Quick Ratio
0.891.780.561.000.670.940.980.590.660.871.290.67
Cash ratio
0.060.060.120.430.210.430.230.080.270.540.920.21
Days of Sales Outstanding
24.1234.1434.0932.79141.44197.56249.25181.8332.7330.7097.46197.56
Days of Inventory outstanding
672.91352.80197.6786.73246.6757.91176.24113.2758.606.808.1757.91
Operating Cycle
697.04386.94231.76119.53388.12255.48425.49295.1091.3337.50105.63255.48
Days of Payables Outstanding
17.2974.1234.2456.209.547.7416.9112.5816.7422.671.46K9.54
Cash Conversion Cycle
679.74312.81197.5263.32378.58247.74408.57282.5274.5914.83-1.35K247.74
Debt Ratios
Debt Ratio
0.350.320.260.260.240.180.190.190.280.300.270.24
Debt Equity Ratio
0.580.520.380.360.340.240.240.250.430.490.410.34
Long-term Debt to Capitalization
0.340.340.280.260.250.200.190.200.300.320.290.25
Total Debt to Capitalization
0.370.340.280.260.250.190.190.200.300.320.290.25
Interest Coverage Ratio
1.361.431.622.072.383.434.30N/AN/AN/A5.682.38
Cash Flow to Debt Ratio
0.070.040.06-0.010.080.110.080.090.040.080.070.11
Company Equity Multiplier
1.661.591.461.421.391.311.311.321.521.581.481.39
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.540.380.41-0.080.540.480.460.560.310.570.520.48
Free Cash Flow / Operating Cash Flow Ratio
0.960.970.961.080.990.980.970.970.950.930.920.98
Cash Flow Coverage Ratio
0.070.040.06-0.010.080.110.080.090.040.080.070.11
Short Term Coverage Ratio
0.59N/AN/AN/AN/A-3199.3N/A15.2143196-3
Dividend Payout Ratio
16.09%13.40%21.30%12.39%11.33%16.51%12.57%4.33%-11.52%-73.12%-2010.00%16.51%