TMX Group Limited
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
81.9477.90
Price/Sales ratio
4.814.56
Earnings per Share (EPS)
CA$1.56CA$1.64

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
27.30-37.2019.8810.6213.7625.4525.6521.2513.9125.0430.3713.76
Price/Sales ratio
3.822.715.265.844.817.818.297.336.763.076.964.81
Price/Book Value ratio
0.940.691.331.221.161.801.981.941.892.170.281.80
Price/Cash Flow ratio
10.857.7712.4214.1311.3418.3217.4616.2917.0016.9822.7611.34
Price/Free Cash Flow ratio
12.198.5812.9716.4913.6522.0020.8618.4319.2519.3926.1713.65
Price/Earnings Growth ratio
-1.390.24-0.040.12-0.61-1.742.050.950.22-0.720.30-0.61
Dividend Yield
3.16%4.47%2.30%2.75%3.16%2.24%2.14%2.34%2.45%2.20%1.68%2.24%
Profitability Indicator Ratios
Gross Profit Margin
61.41%58.66%62.45%66.72%66.65%67.80%67.14%67.56%67.25%96.82%53.27%67.80%
Operating Profit Margin
38.84%34.12%40.20%44.67%45.15%47.39%48.07%50.08%130.39%18.63%33.21%47.39%
Pretax Profit Margin
13.41%-1.60%35.24%41.88%44.33%41.50%44.94%48.87%60.03%17.85%32.34%41.50%
Net Profit Margin
14.01%-7.29%26.46%55.01%35.00%30.68%32.33%34.51%48.60%12.28%22.91%30.68%
Effective Tax Rate
43.24%-495.65%25.16%31.76%21.05%26.06%28.06%29.37%13.20%24.97%21.93%21.05%
Return on Assets
0.67%-0.30%0.88%1.43%0.90%0.76%0.77%0.53%0.96%0.55%0.07%0.76%
Return On Equity
3.45%-1.87%6.72%11.56%8.45%7.07%7.74%9.13%13.61%8.66%2.86%7.07%
Return on Capital Employed
5.76%5.61%6.67%6.47%7.38%7.34%7.82%8.64%24.38%9.35%0.78%7.34%
Liquidity Ratios
Current Ratio
1.000.980.990.970.990.991.00N/AN/AN/A1.000.99
Quick Ratio
0.990.970.990.960.980.990.991.000.990.991.000.98
Cash ratio
0.020.010.010.000.000.000.000.000.000.000.000.00
Days of Sales Outstanding
401.84257.12426.9858.2750.2051.6147.5950.0954.8825.55496.4150.20
Days of Inventory outstanding
116.56106.88103.89212.99201.98242.77229.12241.65260.27N/AN/A242.77
Operating Cycle
518.40364.01530.87271.27252.19294.38276.71291.74315.1525.55496.41252.19
Days of Payables Outstanding
37.0533.4936.8149.5152.5063.0866.2778.2566.98313.08820.2552.50
Cash Conversion Cycle
481.35330.52494.05221.75199.69231.30210.44213.49248.16-287.53-323.84231.30
Debt Ratios
Debt Ratio
0.080.060.040.050.030.030.020.010.010.010.040.03
Debt Equity Ratio
0.420.380.320.420.320.280.250.260.250.250.500.32
Long-term Debt to Capitalization
0.250.180.180.140.180.170.170.210.150.090.290.18
Total Debt to Capitalization
0.290.270.240.290.240.220.200.210.200.200.330.24
Interest Coverage Ratio
6.717.289.7011.168.369.7911.98N/AN/AN/A0.329.79
Cash Flow to Debt Ratio
0.200.230.320.200.310.340.450.440.430.490.020.34
Company Equity Multiplier
5.146.107.608.059.369.249.9917.0514.0415.6611.869.36
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.350.340.420.410.420.420.470.450.390.180.300.42
Free Cash Flow / Operating Cash Flow Ratio
0.890.900.950.850.830.830.830.880.880.870.870.83
Cash Flow Coverage Ratio
0.200.230.320.200.310.340.450.440.430.490.020.34
Short Term Coverage Ratio
1.070.580.990.340.961.382.50220.71.670.860.131.38
Dividend Payout Ratio
86.36%-166.34%45.92%29.29%43.60%57.06%54.91%49.89%34.10%55.30%50.44%43.60%