Yara International ASA
Financial ratios & Valuation

Forward Multiples (2025 – 2028)

2025202620272028
Price/Earnings ratio
2.02K1.96K205.71438.99
Price/Sales ratio
81.2980.287.247.18
Earnings per Share (EPS)
NOK0.23NOK0.23NOK2.27NOK1.06

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
11.9812.9314.6026.2365.7818.9016.0928.824.02188.3412.2818.90
Price/Sales ratio
0.960.960.971.100.800.880.950.770.460.580.480.88
Price/Book Value ratio
1.431.411.241.371.201.281.361.821.301.190.871.28
Price/Cash Flow ratio
10.617.146.5915.9913.835.935.439.204.673.955.245.93
Price/Free Cash Flow ratio
57.5620.9176.70-22.75-18.0313.468.5021.677.637.8640.30-18.03
Price/Earnings Growth ratio
1.31-1.29-0.75-0.75-0.980.060.93-0.890.00-1.91170.71-0.98
Dividend Yield
3.03%3.42%4.42%2.63%2.09%1.79%8.32%9.37%9.42%14.58%1.66%1.79%
Profitability Indicator Ratios
Gross Profit Margin
25.76%26.79%26.91%24.77%23.02%27.40%30.80%26.97%27.39%21.61%27.16%23.02%
Operating Profit Margin
10.84%13.05%9.20%4.04%3.10%7.69%7.79%9.58%16.01%2.02%6.67%3.10%
Pretax Profit Margin
10.55%9.85%8.78%5.13%1.03%6.24%7.33%4.44%15.22%1.23%5.60%1.03%
Net Profit Margin
8.02%7.48%6.67%4.22%1.22%4.65%5.96%2.70%11.61%0.31%3.93%1.22%
Effective Tax Rate
20.84%20.75%24.40%16.96%-4.47%26.65%18.82%48.03%23.55%71.20%29.28%-4.47%
Return on Assets
6.83%6.80%5.27%3.05%0.95%3.58%4.16%2.59%15.44%0.29%3.34%0.95%
Return On Equity
11.95%10.93%8.54%5.22%1.83%6.78%8.48%6.32%32.33%0.63%7.33%1.83%
Return on Capital Employed
11.45%14.62%8.64%3.50%3.08%7.37%6.71%13.57%28.04%2.53%7.28%3.08%
Liquidity Ratios
Current Ratio
1.771.831.921.821.461.441.78N/AN/AN/A1.801.46
Quick Ratio
0.910.940.990.970.750.731.090.660.980.840.960.75
Cash ratio
0.160.140.190.200.040.090.420.060.200.120.250.04
Days of Sales Outstanding
52.1350.7854.4459.2069.98N/AN/AN/A51.14N/AN/AN/A
Days of Inventory outstanding
96.4292.0892.1894.7694.1892.2498.34120.4091.8192.28108.7994.18
Operating Cycle
148.55142.86146.63153.97164.1692.2498.34120.40142.9592.28108.7992.24
Days of Payables Outstanding
49.1645.3664.0957.1154.0950.2465.1290.9549.0957.5170.1254.09
Cash Conversion Cycle
99.3997.5082.5396.85110.0741.9933.2229.4493.8634.7638.6741.99
Debt Ratios
Debt Ratio
0.130.120.130.180.230.210.230.220.210.230.240.23
Debt Equity Ratio
0.240.200.220.310.460.400.470.540.440.500.520.46
Long-term Debt to Capitalization
0.140.110.150.200.240.230.290.300.290.300.310.24
Total Debt to Capitalization
0.190.160.180.230.310.280.320.350.300.330.340.31
Interest Coverage Ratio
8.489.239.767.603.175.747.75N/AN/AN/A3.813.17
Cash Flow to Debt Ratio
0.550.960.850.270.180.530.530.360.620.600.310.18
Company Equity Multiplier
1.751.601.611.711.911.892.032.432.092.122.131.91
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.090.130.140.060.050.140.170.080.100.140.090.05
Free Cash Flow / Operating Cash Flow Ratio
0.180.340.08-0.70-0.760.440.630.420.610.500.13-0.76
Cash Flow Coverage Ratio
0.550.960.850.270.180.530.530.360.620.600.310.18
Short Term Coverage Ratio
1.792.555.491.640.612.134.291.7211.334.422.570.61
Dividend Payout Ratio
36.34%44.30%64.59%69.19%137.73%33.88%134.00%270.37%37.95%2747.91%21.89%33.88%