Companhia Siderúrgica Nacional
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
0.770.850.73
Price/Sales ratio
0.040.040.03
Earnings per Share (EPS)
$1.64$1.49$1.74

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-66.914.16-15.251.16K2.2410.6911.242.778.93-79.47-9.1710.69
Price/Sales ratio
0.460.340.830.640.500.751.410.710.430.550.270.75
Price/Book Value ratio
1.310.682.301.691.341.884.301.670.991.440.881.88
Price/Cash Flow ratio
6.321.0351.6820.885.283.924.452.079.473.461.753.92
Price/Free Cash Flow ratio
-11.361.51-10.51-24.4513.137.205.402.50-5.808.766.727.20
Price/Earnings Growth ratio
0.54-0.000.08-11.490.00-0.160.100.01-0.100.690.070.00
Dividend Yield
5.65%10.48%0.00%N/A4.30%6.84%0.72%9.66%19.40%15.74%15.37%4.30%
Profitability Indicator Ratios
Gross Profit Margin
28.11%23.03%26.29%26.60%29.88%32.13%36.38%46.07%29.99%24.87%26.15%32.13%
Operating Profit Margin
16.64%8.47%12.16%16.33%19.58%16.59%25.05%38.60%16.68%11.41%11.85%16.59%
Pretax Profit Margin
-1.63%11.77%-3.36%2.80%23.73%5.54%16.35%38.81%9.30%2.27%-1.12%5.54%
Net Profit Margin
-0.69%8.20%-5.45%0.05%22.64%7.03%12.62%25.58%4.88%-0.70%-2.95%7.03%
Effective Tax Rate
57.38%10.45%-46.19%78.62%4.59%-59.10%12.71%26.88%47.46%61.11%-59.59%-59.10%
Return on Assets
-0.22%2.58%-2.11%0.02%10.98%3.51%6.02%15.44%2.53%-0.34%-1.33%3.51%
Return On Equity
-1.97%16.41%-15.08%0.14%59.75%17.58%38.27%60.34%11.12%-1.81%-8.28%17.58%
Return on Capital Employed
6.18%2.99%5.39%8.76%12.53%10.75%15.60%33.73%11.77%7.79%7.31%10.75%
Liquidity Ratios
Current Ratio
2.503.082.261.111.051.091.58N/AN/AN/A1.331.05
Quick Ratio
1.852.151.540.690.600.641.260.970.850.940.930.60
Cash ratio
1.361.470.880.310.190.090.670.670.530.640.700.19
Days of Sales Outstanding
39.6735.7242.5043.2933.0229.3834.8119.7926.6026.2619.3729.38
Days of Inventory outstanding
129.78152.47114.37119.51114.21110.9391.94154.60132.69102.19119.23114.21
Operating Cycle
169.46188.20156.88162.80147.23140.32126.75174.39159.29128.45138.61140.32
Days of Payables Outstanding
36.7739.9950.9167.2678.7287.40103.88153.79144.6482.99124.0778.72
Cash Conversion Cycle
132.69148.20105.9795.5368.5052.9122.8620.5914.6545.4614.5452.91
Debt Ratios
Debt Ratio
0.600.700.680.650.600.540.550.400.470.490.530.54
Debt Equity Ratio
5.244.474.914.193.312.743.551.602.092.563.843.31
Long-term Debt to Capitalization
0.820.800.820.760.720.690.750.570.640.680.750.72
Total Debt to Capitalization
0.830.810.830.800.760.730.780.610.670.710.790.76
Interest Coverage Ratio
1.100.440.691.252.312.153.50N/AN/AN/A1.582.15
Cash Flow to Debt Ratio
0.030.140.000.010.070.170.270.500.040.160.130.07
Company Equity Multiplier
8.736.347.126.435.434.996.353.904.375.237.215.43
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.070.330.010.030.090.190.310.340.040.160.150.09
Free Cash Flow / Operating Cash Flow Ratio
-0.550.68-4.91-0.850.400.540.820.82-1.630.390.260.54
Cash Flow Coverage Ratio
0.030.140.000.010.070.170.270.500.040.160.130.07
Short Term Coverage Ratio
0.422.700.130.080.390.952.322.990.390.950.720.39
Dividend Payout Ratio
-378.50%43.71%-0.00%N/A9.65%73.22%8.15%26.84%173.30%-1251.03%-193.26%73.22%