VAT Group AG
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
43.4635.3633.3327.35
Price/Sales ratio
10.969.258.267.07
Earnings per Share (EPS)
CHF10.80CHF13.27CHF14.08CHF17.17

Historical Multiples (2015 – 2023)

2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
152.5534.9637.3918.1565.5451.7562.6724.7066.4051.7358.64
Price/Sales ratio
2.624.626.243.528.599.5615.126.6114.2711.746.06
Price/Book Value ratio
21.894.607.754.369.3612.1521.489.7116.6915.716.86
Price/Cash Flow ratio
9.1716.0627.8014.3431.0941.1057.9926.1649.2941.4222.71
Price/Free Cash Flow ratio
10.0118.0138.6818.9832.4546.7070.9733.9167.5258.7325.72
Price/Earnings Growth ratio
N/A0.050.631.04-1.460.730.890.60-1.750.51-0.20
Dividend Yield
N/AN/A2.77%4.86%2.44%1.81%0.99%2.17%1.48%1.81%2.12%
Profitability Indicator Ratios
Gross Profit Margin
61.55%60.45%59.75%57.83%58.27%32.38%37.28%41.00%33.84%33.54%45.32%
Operating Profit Margin
22.70%23.78%25.74%24.57%18.60%24.47%29.65%32.27%24.35%26.20%21.58%
Pretax Profit Margin
5.00%17.30%19.45%23.84%17.35%22.27%28.60%31.11%23.39%25.11%20.60%
Net Profit Margin
1.71%13.23%16.70%19.43%13.11%18.47%24.12%26.78%21.49%22.70%16.27%
Effective Tax Rate
65.65%23.49%14.10%18.50%24.42%17.04%15.63%13.93%8.10%9.56%20.73%
Return on Assets
0.79%7.61%11.67%14.01%7.69%12.87%20.33%24.02%16.28%16.03%10.85%
Return On Equity
14.35%13.16%20.73%24.05%14.29%23.49%34.27%39.31%25.13%28.26%19.17%
Return on Capital Employed
11.22%16.04%22.49%20.26%13.00%20.52%29.36%43.75%26.12%21.79%16.63%
Liquidity Ratios
Current Ratio
N/A1.681.562.311.912.06N/AN/AN/A2.772.11
Quick Ratio
2.521.241.001.451.371.431.630.830.801.481.41
Cash ratio
1.290.470.360.650.700.820.790.400.420.610.76
Days of Sales Outstanding
66.4869.5965.4443.7962.8150.0350.6752.8340.6560.9361.87
Days of Inventory outstanding
133.91102.83145.06129.16129.1781.6698.66123.81117.44151.41129.16
Operating Cycle
200.40172.42210.51172.95191.98131.69149.33176.64158.09212.35182.47
Days of Payables Outstanding
49.8674.28105.1438.3376.553.7232.4916.7531.4760.3368.44
Cash Conversion Cycle
150.5398.13105.36134.62115.42127.96116.84159.88126.62152.02125.02
Debt Ratios
Debt Ratio
0.790.220.210.230.250.260.190.150.170.000.26
Debt Equity Ratio
14.410.380.380.400.470.480.320.250.260.000.48
Long-term Debt to Capitalization
0.930.230.220.260.270.270.24N/A0.00N/A0.27
Total Debt to Capitalization
0.930.270.270.280.320.320.240.200.200.000.32
Interest Coverage Ratio
N/A4.0234.1634.4024.2242.36N/AN/AN/A19.0033.29
Cash Flow to Debt Ratio
0.160.740.720.750.630.601.131.441.28111.990.69
Company Equity Multiplier
18.161.731.771.711.851.821.681.631.541.891.78
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.280.280.220.240.270.230.260.250.280.280.26
Free Cash Flow / Operating Cash Flow Ratio
0.910.890.710.750.950.880.810.770.720.700.91
Cash Flow Coverage Ratio
0.160.740.720.750.630.601.131.441.28111.990.69
Short Term Coverage Ratio
80.404.002.796.213.142.61111.621.441.28111.994.68
Dividend Payout Ratio
N/AN/A103.67%88.38%160.29%93.76%62.07%53.77%98.48%93.65%127.02%