DENTSPLY SIRONA
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
8.656.814.576.98
Price/Sales ratio
0.750.720.680.74
Earnings per Share (EPS)
$1.62$2.05$3.07$2.00

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
23.3833.9129.27-9.59-8.2548.02-138.2829.64-7.22-57.15-9.2148.02
Price/Sales ratio
2.583.183.363.772.093.133.432.861.741.900.963.13
Price/Book Value ratio
3.253.641.552.271.622.472.302.411.792.291.522.47
Price/Cash Flow ratio
13.4617.1222.3325.0716.6819.9518.0718.5413.2720.017.1219.95
Price/Free Cash Flow ratio
16.6020.0228.7733.4726.7524.7620.9423.6518.6433.0910.3124.76
Price/Earnings Growth ratio
6.42-1.572.910.020.24-0.381.04-0.040.020.660.660.24
Dividend Yield
0.49%0.46%0.51%0.51%0.94%0.64%0.76%0.75%1.51%1.53%3.37%0.94%
Profitability Indicator Ratios
Gross Profit Margin
54.73%56.73%53.42%54.80%51.87%53.73%49.58%55.53%54.23%52.61%52.17%51.87%
Operating Profit Margin
15.24%14.02%12.14%-39.69%-24.03%12.96%13.64%14.63%7.80%-2.14%-7.02%-24.03%
Pretax Profit Margin
13.83%12.32%11.77%-40.72%-24.04%8.57%-1.79%13.14%-26.89%-4.41%-9.12%-24.04%
Net Profit Margin
11.04%9.39%11.47%-39.39%-25.36%6.52%-2.48%9.66%-24.22%-3.32%-10.58%-25.36%
Effective Tax Rate
20.06%23.35%2.15%3.27%-5.47%23.82%-38.33%24.68%9.95%24.57%-15.16%23.82%
Return on Assets
6.94%5.70%3.68%-15.15%-11.63%3.05%-0.88%4.45%-12.42%-1.79%-6.23%-11.63%
Return On Equity
13.90%10.74%5.29%-23.72%-19.74%5.16%-1.67%8.14%-24.92%-4.00%-13.64%-19.74%
Return on Capital Employed
11.14%9.55%4.17%-16.80%-12.48%6.86%5.68%7.74%4.72%-1.42%-5.38%-12.48%
Liquidity Ratios
Current Ratio
1.842.512.442.091.862.001.35N/AN/AN/A1.242.00
Quick Ratio
1.251.791.771.451.271.441.001.121.080.940.841.44
Cash ratio
0.230.590.490.330.300.400.330.280.310.230.190.40
Days of Sales Outstanding
53.2754.5861.9868.2064.2670.8477.4368.9463.7469.5962.7970.84
Days of Inventory outstanding
106.80107.37108.19126.00113.94109.98100.9497.33127.49121.21121.14113.94
Operating Cycle
160.08161.95170.18194.21178.21180.82178.37166.28191.24190.80183.94178.21
Days of Payables Outstanding
36.5842.1446.6657.5154.0160.3065.4150.5956.7359.2458.1254.01
Cash Conversion Cycle
123.49119.81123.51136.69124.19120.51112.95115.68134.51131.56125.81124.19
Debt Ratios
Debt Ratio
0.270.260.130.150.190.160.240.220.250.280.330.19
Debt Equity Ratio
0.540.490.180.240.320.280.450.410.500.640.890.32
Long-term Debt to Capitalization
0.330.320.150.190.230.210.280.270.320.350.410.23
Total Debt to Capitalization
0.350.330.150.190.240.210.310.290.330.390.470.24
Interest Coverage Ratio
9.737.8613.3113.419.3415.024.62N/AN/AN/A-3.6015.02
Cash Flow to Debt Ratio
0.440.430.360.360.300.440.270.310.260.170.240.44
Company Equity Multiplier
2.001.881.431.561.691.681.871.822.002.232.651.69
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.190.180.150.150.120.150.190.150.130.090.130.12
Free Cash Flow / Operating Cash Flow Ratio
0.810.850.770.740.620.800.860.780.710.600.680.62
Cash Flow Coverage Ratio
0.440.430.360.360.300.440.270.310.260.170.240.44
Short Term Coverage Ratio
4.9641.1026.7019.995.40316.42.123.604.381.171.26316.4
Dividend Payout Ratio
11.58%15.92%15.02%-4.97%-7.77%30.77%-106.02%22.38%-10.94%-87.87%-30.26%30.77%