Standard Motor Products
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
11.04
Price/Sales ratio
0.58
Earnings per Share (EPS)
$3.47

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
20.2818.8620.0126.8725.2920.5611.2512.7613.6325.3118.6320.56
Price/Sales ratio
0.890.891.140.910.991.040.800.890.550.630.471.04
Price/Book Value ratio
2.332.212.742.242.322.361.641.921.231.361.052.36
Price/Cash Flow ratio
18.5713.3112.3615.7915.4715.489.2413.56-27.405.997.5115.48
Price/Free Cash Flow ratio
26.3818.4115.7225.4021.7019.6011.3019.43-14.107.4715.0419.60
Price/Earnings Growth ratio
-1.262.530.63-0.721.750.570.290.89-0.76-0.47-1.680.57
Dividend Yield
1.36%1.57%1.27%1.69%1.73%1.72%1.23%1.91%3.10%2.91%3.74%1.73%
Profitability Indicator Ratios
Gross Profit Margin
29.54%28.90%30.46%29.26%28.64%29.15%29.82%29.02%27.88%28.62%28.46%29.15%
Operating Profit Margin
8.70%7.80%9.26%8.79%7.44%8.30%9.64%9.93%7.59%6.82%7.27%8.30%
Pretax Profit Margin
8.33%7.62%9.31%8.64%7.03%8.06%9.51%10.04%7.16%6.01%5.73%8.06%
Net Profit Margin
4.38%4.73%5.70%3.40%3.93%5.08%7.12%6.99%4.03%2.51%2.56%5.08%
Effective Tax Rate
35.29%35.06%36.68%54.76%26.00%24.77%25.10%23.79%25.63%22.47%22.77%24.77%
Return on Assets
6.38%6.75%7.86%4.82%5.10%6.34%8.40%7.58%4.41%2.64%2.67%6.34%
Return On Equity
11.50%11.73%13.70%8.37%9.20%11.48%14.61%15.10%9.07%5.37%5.66%11.48%
Return on Capital Employed
20.18%17.35%20.22%19.56%15.31%15.66%16.65%17.87%11.17%9.37%10.28%15.66%
Liquidity Ratios
Current Ratio
1.851.961.811.731.741.771.97N/AN/AN/A2.251.74
Quick Ratio
0.740.790.710.590.560.520.770.460.660.710.770.56
Cash ratio
0.050.070.060.060.030.030.060.040.060.100.070.03
Days of Sales Outstanding
47.1046.5046.4245.8052.6540.6264.0450.7544.6043.0756.1552.65
Days of Inventory outstanding
146.92150.96154.96150.90173.44175.65168.28194.40202.33197.78188.30173.44
Operating Cycle
194.02197.47201.39196.70226.09216.27232.33245.16246.94240.85244.46226.09
Days of Payables Outstanding
37.3438.4041.5936.0544.1941.8946.0954.3032.9240.4540.6341.89
Cash Conversion Cycle
156.68159.06159.79160.65181.90174.37186.23190.85214.01200.39203.82181.90
Debt Ratios
Debt Ratio
0.080.060.070.070.050.060.010.100.190.120.100.05
Debt Equity Ratio
0.150.120.120.130.100.110.010.210.390.240.220.10
Long-term Debt to Capitalization
0.000.000.000.000.000.000.000.000.230.190.170.00
Total Debt to Capitalization
0.130.100.110.110.090.100.010.170.280.190.180.09
Interest Coverage Ratio
60.1349.2665.5644.8021.3018.3648.09N/AN/AN/A9.7918.36
Cash Flow to Debt Ratio
0.821.371.771.041.421.349.560.66-0.110.920.621.34
Company Equity Multiplier
1.801.731.741.731.801.811.731.992.052.032.111.80
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.040.060.090.050.060.060.080.06-0.020.100.060.06
Free Cash Flow / Operating Cash Flow Ratio
0.700.720.780.620.710.780.810.691.940.800.490.78
Cash Flow Coverage Ratio
0.821.371.771.041.421.349.560.66-0.110.920.621.34
Short Term Coverage Ratio
0.821.371.781.041.431.359.650.66-0.5028.6833.351.43
Dividend Payout Ratio
27.66%29.76%25.56%45.52%43.84%35.55%13.94%24.40%42.32%73.69%70.08%43.84%