Telefônica Brasil S.A.
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
3.162.871.981.72
Price/Sales ratio
0.380.360.290.28
Earnings per Share (EPS)
$3.87$4.27$6.18$7.13

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
10.6916.0017.9918.398.7519.4316.2612.9915.4517.5014.348.75
Price/Sales ratio
1.501.261.721.961.792.191.791.841.311.691.382.19
Price/Book Value ratio
1.170.771.061.221.091.371.111.150.921.261.111.09
Price/Cash Flow ratio
5.625.096.426.706.545.484.014.483.334.684.035.48
Price/Free Cash Flow ratio
28.5414.4818.5119.8422.8310.947.029.246.978.827.7210.94
Price/Earnings Growth ratio
0.32-0.333.221.440.08-0.44-3.700.41-0.450.722.560.08
Dividend Yield
4.63%6.89%4.03%4.32%5.29%6.35%6.77%6.04%9.04%4.35%1.05%6.35%
Profitability Indicator Ratios
Gross Profit Margin
63.98%64.97%67.00%53.08%68.55%71.13%69.73%81.84%42.89%43.54%51.58%71.13%
Operating Profit Margin
14.59%12.43%14.98%15.35%21.75%16.29%15.25%16.09%13.73%15.19%15.62%16.29%
Pretax Profit Margin
13.58%10.17%12.07%13.26%25.94%14.44%13.93%13.53%10.05%10.69%11.48%14.44%
Net Profit Margin
14.10%7.90%9.61%10.66%20.54%11.29%11.06%14.16%8.50%9.65%9.82%11.29%
Effective Tax Rate
-3.84%22.30%20.43%19.57%20.83%21.80%20.60%-4.52%16.01%9.57%14.18%21.80%
Return on Assets
6.75%3.27%4.00%4.54%8.70%4.61%4.38%5.39%3.42%4.16%4.35%4.61%
Return On Equity
10.98%4.85%5.89%6.63%12.46%7.09%6.85%8.91%5.97%7.22%7.79%7.09%
Return on Capital Employed
8.95%6.25%7.80%7.94%11.07%7.96%7.24%7.59%6.80%7.86%8.59%8.59%
Liquidity Ratios
Current Ratio
0.420.50.50.440.320.321.06N/AN/AN/A0.960.32
Quick Ratio
0.930.960.880.911.041.011.030.900.740.910.911.01
Cash ratio
0.290.290.240.220.190.190.320.280.100.210.280.19
Days of Sales Outstanding
93.0971.77102.8395.60111.30109.7294.91103.6192.2184.1261.25109.72
Days of Inventory outstanding
13.8914.9210.686.2712.3416.5117.7029.2110.5010.2016.5212.34
Operating Cycle
106.9886.70113.51101.87123.64126.23112.61132.83102.7294.3377.77126.23
Days of Payables Outstanding
221.24207.11198.08134.08204.13196.32184.93325.5798.67101.37111.97196.32
Cash Conversion Cycle
-114.26-120.40-84.56-32.20-80.48-70.08-72.31-192.744.05-7.03-34.19-80.48
Debt Ratios
Debt Ratio
0.100.090.080.070.050.040.020.040.060.040.150.05
Debt Equity Ratio
0.160.140.120.110.080.060.030.080.100.070.270.08
Long-term Debt to Capitalization
0.100.090.050.060.050.030.010.020.060.060.160.05
Total Debt to Capitalization
0.140.120.110.100.070.060.030.070.090.060.210.07
Interest Coverage Ratio
5.844.604.750.0215.61-3.783.41N/AN/AN/A4.46-3.78
Cash Flow to Debt Ratio
1.231.051.291.562.073.827.993.162.603.640.993.82
Company Equity Multiplier
1.621.481.471.451.431.531.561.651.741.731.791.43
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.260.240.260.290.270.400.440.410.390.360.340.27
Free Cash Flow / Operating Cash Flow Ratio
0.190.350.340.330.280.500.570.480.470.530.510.28
Cash Flow Coverage Ratio
1.231.051.291.562.073.827.993.162.603.640.993.82
Short Term Coverage Ratio
4.184.542.474.238.468.4413.614.517.5231.023.158.44
Dividend Payout Ratio
49.56%110.43%72.61%79.59%46.33%123.51%110.24%78.55%139.76%76.20%39.93%123.51%