Teva Pharmaceutical Industries Limited
Financial ratios & Valuation

Forward Multiples (2025 – 2027)

202520262027
Price/Earnings ratio
12.5110.035.47
Price/Sales ratio
1.181.151.19
Earnings per Share (EPS)
$1.39$1.74$3.19

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
16.0535.34105.22-1.18-7.32-10.70-2.6421.16-4.30-20.89-4.46-7.32
Price/Sales ratio
2.412.851.580.860.830.630.630.550.670.730.700.70
Price/Book Value ratio
2.101.881.031.101.070.761.050.851.281.551.201.07
Price/Cash Flow ratio
9.5610.126.625.486.4319.878.6811.066.368.536.616.43
Price/Free Cash Flow ratio
11.6811.768.007.318.7625.5116.5637.409.7113.8710.088.76
Price/Earnings Growth ratio
0.11-0.72-1.090.000.080.18-0.00-0.190.000.270.000.18
Dividend Yield
2.35%2.05%4.50%6.03%0.13%0.48%N/AN/AN/AN/AN/A0.48%
Profitability Indicator Ratios
Gross Profit Margin
54.53%57.78%54.14%48.35%44.00%44.62%46.37%47.82%46.72%48.25%46.72%44.00%
Operating Profit Margin
19.48%17.05%9.83%-78.10%-8.68%16.56%18.32%20.14%18.74%2.73%-14.06%16.56%
Pretax Profit Margin
17.94%11.96%3.76%-82.10%-13.76%-7.49%-26.44%4.14%-20.53%-3.93%-20.53%-7.49%
Net Profit Margin
15.07%8.08%1.50%-72.66%-11.40%-5.91%-23.95%2.62%-15.76%-3.52%-15.76%-5.91%
Effective Tax Rate
16.24%26.95%63.22%10.51%7.51%21.97%3.81%32.06%20.81%1.12%20.81%7.51%
Return on Assets
6.58%2.92%0.35%-23.03%-3.54%-1.73%-7.87%0.87%-5.34%-1.28%-5.34%-1.73%
Return On Equity
13.10%5.33%0.98%-93.69%-14.61%-7.14%-39.79%4.05%-29.79%-7.44%-25.72%-7.14%
Return on Capital Employed
11.57%8.12%2.89%-33.18%-3.53%6.38%8.14%8.72%8.59%1.38%-6.45%6.38%
Liquidity Ratios
Current Ratio
1.171.410.910.850.960.980.98N/AN/AN/A1.050.96
Quick Ratio
0.811.100.640.580.630.660.650.790.710.690.560.66
Cash ratio
0.180.530.050.050.120.140.160.190.240.260.240.12
Days of Sales Outstanding
97.3799.36125.36116.22112.70122.68100.37104.1190.3878.5090.38122.68
Days of Inventory outstanding
173.11174.49180.02155.47163.55172.60179.90168.22175.93178.98175.93163.55
Operating Cycle
270.48273.85305.39271.69276.26295.28280.28272.33266.32257.48198.22295.28
Days of Payables Outstanding
125.5884.3878.3865.3264.0567.0571.7474.2886.61115.8286.6164.05
Cash Conversion Cycle
144.89189.47227.00206.37212.20228.22208.53198.04179.71141.6647.15228.22
Debt Ratios
Debt Ratio
0.220.180.380.450.470.460.510.480.480.450.800.47
Debt Equity Ratio
0.440.331.071.871.961.922.582.242.682.644.061.96
Long-term Debt to Capitalization
0.260.210.490.620.640.630.690.670.700.700.690.64
Total Debt to Capitalization
0.300.250.510.650.660.650.720.690.720.720.710.66
Interest Coverage Ratio
14.9618.948.524.56-1.77-0.503.17N/AN/AN/A-4.47-0.50
Cash Flow to Debt Ratio
0.490.550.140.100.080.010.040.030.070.060.070.07
Company Equity Multiplier
1.991.822.784.064.124.115.054.635.575.795.064.12
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.250.280.230.150.120.030.070.050.100.080.100.10
Free Cash Flow / Operating Cash Flow Ratio
0.810.860.820.750.730.770.520.290.650.610.650.77
Cash Flow Coverage Ratio
0.490.550.140.100.080.010.040.030.070.060.070.07
Short Term Coverage Ratio
2.913.491.590.961.100.220.380.550.750.810.750.75
Dividend Payout Ratio
37.83%72.73%473.55%-7.13%-1.02%-5.20%N/AN/AN/AN/AN/A-1.02%