Sulzer Ltd
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
11.3310.678.75
Price/Sales ratio
0.860.830.75
Earnings per Share (EPS)
CHF8.08CHF8.57CHF10.46

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-15.0229.0940.6432.4214.1915.9725.332.1485.1512.7018.4614.19
Price/Sales ratio
0.750.720.830.880.470.650.710.960.760.881.320.47
Price/Book Value ratio
0.990.961.511.600.991.551.502.382.372.653.910.99
Price/Cash Flow ratio
13.329.659.1114.686.187.695.749.5920.418.0313.666.18
Price/Free Cash Flow ratio
29.3614.2212.6425.669.4012.018.0413.1849.209.8117.769.40
Price/Earnings Growth ratio
0.07-0.19-2.000.790.300.58-0.550.00-0.860.010.180.58
Dividend Yield
4.51%5.54%25.74%4.42%2.67%3.29%4.37%3.02%3.30%2.77%2.84%2.67%
Profitability Indicator Ratios
Gross Profit Margin
31.44%30.63%30.56%30.71%29.07%30.07%29.39%30.00%29.54%33.04%33.75%29.07%
Operating Profit Margin
8.20%5.84%6.21%5.32%5.59%6.77%5.47%6.45%4.82%10.04%10.48%5.59%
Pretax Profit Margin
-2.66%3.36%3.30%4.11%4.92%5.70%3.77%6.34%3.44%9.27%9.68%4.92%
Net Profit Margin
-5.00%2.48%2.05%2.72%3.37%4.13%2.81%44.89%0.89%6.98%7.15%3.37%
Effective Tax Rate
-83.89%24.92%36.86%30.46%29.69%25.90%35.53%28.58%72.01%24.25%24.26%25.90%
Return on Assets
-3.45%1.73%1.57%2.02%2.32%2.98%1.54%27.89%0.60%5.24%5.28%2.32%
Return On Equity
-6.59%3.32%3.73%4.95%6.97%9.74%5.95%111.21%2.79%20.91%21.62%6.97%
Return on Capital Employed
7.66%6.41%6.95%6.24%5.73%7.67%4.70%6.97%6.25%14.82%15.52%5.73%
Liquidity Ratios
Current Ratio
2.441.731.651.401.761.561.60N/AN/AN/A1.221.56
Quick Ratio
2.041.461.301.081.351.221.271.211.091.010.981.22
Cash ratio
0.980.650.360.320.680.550.560.690.530.450.400.55
Days of Sales Outstanding
108.62104.56112.06107.95103.67110.76129.44124.05134.54N/A118.70103.67
Days of Inventory outstanding
80.7972.4873.4084.32100.7790.78100.1689.2995.6082.2588.7790.78
Operating Cycle
189.42177.05185.47192.27204.44201.55229.60213.35230.1582.25207.47204.44
Days of Payables Outstanding
63.5757.3469.3174.9579.8073.1381.1471.3671.8161.0863.4573.13
Cash Conversion Cycle
125.84119.70116.15117.32124.64128.42148.46141.98158.3321.16144.02124.64
Debt Ratios
Debt Ratio
0.110.120.120.170.270.250.320.300.290.240.230.25
Debt Equity Ratio
0.210.230.290.420.810.841.231.201.340.960.930.81
Long-term Debt to Capitalization
0.170.000.220.210.440.430.510.470.500.420.410.43
Total Debt to Capitalization
0.170.180.220.290.450.450.550.540.570.490.480.45
Interest Coverage Ratio
12.486.8810.9411.319.5910.898.41N/AN/AN/A16.479.59
Cash Flow to Debt Ratio
0.340.420.560.250.190.230.210.200.080.340.300.19
Company Equity Multiplier
1.911.912.362.453.003.263.863.984.583.984.013.00
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.050.070.090.060.070.080.120.100.030.110.090.07
Free Cash Flow / Operating Cash Flow Ratio
0.450.670.720.570.650.640.710.720.410.810.760.65
Cash Flow Coverage Ratio
0.340.420.560.250.190.230.210.200.080.340.300.19
Short Term Coverage Ratio
10.350.4337.070.7214.482.271.480.850.351.381.222.27
Dividend Payout Ratio
-67.76%161.29%1046.61%143.50%37.90%52.72%110.76%6.48%281.81%35.31%35.77%52.72%