Swiss Prime Site AG
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
20.4220.3820.32
Price/Sales ratio
11.8911.8416.52
Earnings per Share (EPS)
CHF4.39CHF4.40CHF4.42

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
16.2614.8018.8920.9019.9613.9810.8113.6515.1929.2040.9519.96
Price/Sales ratio
5.385.145.475.555.056.648.329.089.5010.5311.395.05
Price/Book Value ratio
1.101.061.241.331.201.551.081.060.931.051.171.55
Price/Cash Flow ratio
6.3713.5621.2413.9318.5225.1328.1218.6018.9916.0020.7818.52
Price/Free Cash Flow ratio
6.4614.0722.7114.3919.3828.3630.9719.7219.6816.3320.9219.38
Price/Earnings Growth ratio
-0.941.20-1.12-6.58-3.400.1421.62-0.74-0.76-0.370.40-3.40
Dividend Yield
4.68%4.47%4.40%4.14%4.38%3.39%4.37%3.73%4.18%3.78%3.44%3.39%
Profitability Indicator Ratios
Gross Profit Margin
78.66%72.64%76.28%76.08%74.05%73.93%75.89%78.03%68.41%76.43%76.78%74.05%
Operating Profit Margin
40.77%41.61%36.21%35.23%33.55%33.12%41.80%48.56%50.49%23.31%65.14%33.55%
Pretax Profit Margin
42.35%44.65%35.12%34.33%32.98%43.64%88.59%84.41%77.74%11.64%31.37%43.64%
Net Profit Margin
33.10%34.75%28.98%26.55%25.33%47.48%76.99%66.56%62.54%36.08%27.69%25.33%
Effective Tax Rate
21.59%22.35%17.76%22.62%23.04%-8.76%13.24%21.29%21.51%-13.83%11.92%-8.76%
Return on Assets
2.69%3.32%2.95%2.75%2.65%4.93%4.79%3.69%2.93%1.71%1.32%4.93%
Return On Equity
6.80%7.18%6.57%6.39%6.03%11.13%10.03%7.78%6.15%3.61%2.84%11.13%
Return on Capital Employed
3.32%3.99%3.70%3.66%3.52%3.45%2.61%2.72%2.39%1.17%3.12%3.45%
Liquidity Ratios
Current Ratio
0.700.450.360.350.320.290.31N/AN/AN/AN/A0.29
Quick Ratio
8.237.492.972.382.201.05-3.630.17-0.580.43N/A1.05
Cash ratio
9.148.414.003.354.344.124.960.720.150.02N/A4.12
Days of Sales Outstanding
N/A39.9934.6329.07N/A31.4428.41N/A30.92N/AN/A31.44
Days of Inventory outstanding
50.5933.2959.2461.37104.64141.07471.98192.25182.2391.47N/A141.07
Operating Cycle
50.5973.2893.8790.45104.64172.51500.40192.25213.1691.47N/A172.51
Days of Payables Outstanding
32.0017.3321.5523.8114.4735.6916.1056.0777.9978.47N/A35.69
Cash Conversion Cycle
18.5855.9472.3266.6490.16136.81484.29136.17135.1612.99N/A136.81
Debt Ratios
Debt Ratio
0.400.390.420.430.430.430.400.380.380.390.320.43
Debt Equity Ratio
1.010.850.941.010.980.980.840.800.790.830.700.98
Long-term Debt to Capitalization
0.500.420.440.460.440.430.380.440.420.420.410.43
Total Debt to Capitalization
0.500.460.480.500.490.490.450.440.440.450.410.49
Interest Coverage Ratio
3.333.894.165.175.185.705.52N/AN/AN/A8.945.18
Cash Flow to Debt Ratio
0.170.090.060.090.060.060.040.070.060.070.070.06
Company Equity Multiplier
2.522.152.222.322.272.252.092.102.092.102.152.25
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.840.370.250.390.270.260.290.480.500.650.540.27
Free Cash Flow / Operating Cash Flow Ratio
0.980.960.930.960.950.880.900.940.960.970.990.95
Cash Flow Coverage Ratio
0.170.090.060.090.060.060.040.070.060.070.070.06
Short Term Coverage Ratio
N/A0.670.400.730.340.260.1725.210.900.86N/A0.26
Dividend Payout Ratio
76.21%66.20%83.16%86.61%87.52%47.49%47.28%51.01%63.54%110.49%140.61%87.52%