Grupo Televisa, S.A.B.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
0.700.390.28N/A
Price/Sales ratio
0.020.020.010.02
Earnings per Share (EPS)
$3.51$6.24$8.67N/A

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
268.86124.26339.03245.84105.73135.20-366.2195.475.96-18.82-13.02135.20
Price/Sales ratio
18.0715.3813.1011.796.276.294.705.583.522.140.296.29
Price/Book Value ratio
18.8515.4915.3412.987.087.046.237.182.071.320.817.04
Price/Cash Flow ratio
50.8843.2834.6144.3118.8422.8713.8019.6621.3810.423.9222.87
Price/Free Cash Flow ratio
135.81290.26205.27169.4985.4095.2338.82136.72-40.06-115.191.7295.23
Price/Earnings Growth ratio
N/A2.48-5.08N/A1.05-4.512.87-0.150.000.15-0.19-4.51
Dividend Yield
N/A0.08%0.08%0.09%0.16%0.16%N/A0.18%0.39%0.64%1.53%0.16%
Profitability Indicator Ratios
Gross Profit Margin
46.44%46.36%45.60%43.21%42.89%42.13%41.46%42.46%35.37%33.71%34.08%42.13%
Operating Profit Margin
17.41%21.28%17.23%15.10%19.99%16.95%18.00%21.42%5.85%3.59%6.80%16.95%
Pretax Profit Margin
12.03%21.18%8.52%11.51%11.85%8.84%5.68%13.59%-16.10%-8.30%-8.68%8.84%
Net Profit Margin
6.72%12.37%3.86%4.79%5.93%4.65%-1.28%5.84%59.20%-11.41%-10.80%4.65%
Effective Tax Rate
30.91%33.93%35.00%39.38%36.56%30.92%94.52%53.25%10.08%-43.69%-38.49%30.92%
Return on Assets
2.37%3.87%1.21%1.52%2.01%1.62%-0.46%2.06%14.94%-3.20%-2.72%1.62%
Return On Equity
7.01%12.47%4.52%5.28%6.69%5.21%-1.70%7.52%34.84%-7.06%-6.19%5.21%
Return on Capital Employed
7.60%8.06%6.65%5.77%8.13%6.93%7.70%9.38%1.66%1.16%1.92%6.93%
Liquidity Ratios
Current Ratio
1.791.831.661.711.481.601.57N/AN/AN/A2.421.48
Quick Ratio
1.731.801.631.681.451.571.541.252.331.742.401.45
Cash ratio
0.681.000.820.760.650.640.660.451.480.931.460.65
Days of Sales Outstanding
100.1890.3697.8499.0675.0555.0249.2249.2442.3747.40109.3575.05
Days of Inventory outstanding
28.3812.5813.2310.176.477.1510.5113.5610.839.414.787.15
Operating Cycle
128.56102.95111.08109.2481.5362.1859.7362.8053.2056.82114.1381.53
Days of Payables Outstanding
145.81134.18159.42136.08139.01130.27141.07140.67120.9496.00110.53130.27
Cash Conversion Cycle
-17.25-31.22-48.34-26.84-57.48-68.08-81.33-77.87-67.73-39.173.59-57.48
Debt Ratios
Debt Ratio
0.360.390.430.420.420.420.450.420.350.330.370.42
Debt Equity Ratio
1.071.271.621.491.401.341.661.560.820.740.871.34
Long-term Debt to Capitalization
0.510.550.610.590.570.570.620.600.440.390.450.57
Total Debt to Capitalization
0.510.560.610.590.580.570.620.600.450.420.460.57
Interest Coverage Ratio
3.382.982.171.711.821.691.64N/AN/AN/A0.571.69
Cash Flow to Debt Ratio
0.340.270.270.190.260.220.270.230.110.170.230.23
Company Equity Multiplier
2.953.223.733.463.323.203.693.632.332.202.293.20
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.350.350.370.260.330.270.340.280.160.200.350.33
Free Cash Flow / Operating Cash Flow Ratio
0.370.140.160.260.220.240.350.14-0.53-0.090.470.22
Cash Flow Coverage Ratio
0.340.270.270.190.260.220.270.230.110.170.230.23
Short Term Coverage Ratio
21.697.519.397.649.9215.3653.747.1212.461.525.4715.36
Dividend Payout Ratio
N/A9.94%29.13%23.96%17.78%22.57%N/A17.39%2.35%-12.19%-14.41%22.57%