QSR.TO Financial Ratios


* All Per Share Items In CAD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
2013
12-31
2012
12-31
Price Ratios
Price to Earnings Ratio 29.90911752 19.83882986842105 22.286598410215486 38.133960384 26.890125553555354 40.38752544444444 22.484783961159064 17.958358802794024 20.287365835777127 83.30764144981413 55.70716944801027 118.08658903993202
Price to Sales Ratio 5.068620029735118 4.519776458877787 4.865849069175815 5.756938463768116 5.331952434410137 4.6139939466119095 3.1878953331439432 2.6665940660427423 1.8779406063372985 11.21609386886887 11.357206228735933 7.052002399918819
Price to Book Ratio 12.418649633217026 11.765164411764706 12.483284670540904 13.198186565759112 11.99796365060241 15.34274709621353 6.552339127739849 2.2112542612261232 1.6423063978332184 2.598533806818182 8.586443411159477 0
Price to Free Cash Flows Ratio 29.585910098753114 21.1519035 17.237720869135806 35.57272423880597 21.12795579207921 22.90747504355885 10.843773012710917 8.949377219298958 6.984663538320332 58.86976063922942 43.439324324324325 90.13483482490273
Price to Operating Cash Flow Ratio 26.902380838095237 19.732312661073827 16.17908911239861 31.053713667752444 20.240467134146343 21.216451134763947 10.555808852387843 8.711714483057527 6.3162275273904385 51.854428576937906 40.03310424354243 61.93757366310161
Price Earnings to Growth Ratio 1.7411379127714275 0.9565150115131585 0.3241687041485889 -1.1737335858451947 0.3211876107785779 -0.789800497580247 0.2868748298492707 0.09442023700438096 -0.14091822975749382 -0.3050061189692649 0.5739526549188938 0
Liquidity Ratios
Current Ratio 1.013526119402985 0.9678638941398866 0.966986155484558 1.4141161773891318 1.289489136817381 1.0653409090909092 1.0571601208459214 1.7320558354670852 1.2216770740410348 1.3571795662452462 3.1052023121387284 0
Quick Ratio 0.8805970149253731 0.8468809073724007 0.8700745473908413 1.3091817613991255 1.2096300645918967 0.9694602272727273 0.92404833836858 1.5395225902370528 1.0524531668153434 1.1534587316270943 2.79364161849711 0
Cash Ratio 0.53125 0.556710775047259 0.5788072417465389 0.9743910056214866 0.9001761597181445 0.6484375 0.6485800604229607 1.20624432146692 0.6760035682426405 0.9267139479905437 2.2742774566473987 0
Debt Ratio 0.6205378136890257 0.6288578211553679 0.6201066850210789 0.6104842604381613 0.591994633273703 0.6027506082121047 0.5712017339270149 0.4560808161088424 0.47372508975563654 0.47962320742337616 0.5276829372908982 0
Debt to Equity Ratio 5.064549895324494 5.723889555822329 6.443898077782745 6.416705122288879 5.3160642570281125 7.535692116697703 5.4450682716492995 1.7446744674467447 1.882294544198895 1.977852504638219 2.028492283339929 0
Long Term Debt to Capitalization 0.832720480943209 0.8501439194051331 0.8648828219376661 0.8642315644383184 0.8406501983873033 0.8820644216691069 0.8439924042295268 0.6331476874986242 0.6515906852240343 0.6376419837812854 0.6638435615466477 0
Total Debt to Capitalization 0.8351073010758875 0.8512765577575433 0.8656617823684842 0.8651692384270782 0.8416735550327462 0.8828448840084357 0.8448426055626407 0.6356580673371228 0.6530541953067673 0.6641875316381761 0.6698026917548674 0
Interest Coverage Ratio 3.447058823529412 3.5609756097560976 3.720792079207921 2.7992125984251968 3.7725563909774436 3.583177570093458 3.389105818039828 3.5697151424287856 2.492577879991637 0.6687592319054653 2.739769150052466 1.9985645933014353
Cash Flow to Debt Ratio 0.09114708921805029 0.10416666666666667 0.11973638570933055 0.06623516720604099 0.11150562816348115 0.09596375617792421 0.11399912562175717 0.14548581255374032 0.13813662317411543 0.025336616442907117 0.10573546625048771 0
Margins
Gross Profit Margin 0.39903161492452294 0.3993850883935434 0.41784282976128245 0.5696457326892109 0.580046403712297 0.5818555161470973 0.4912917112825332 0.47382893530802256 0.42927298751295595 0.7202202202202203 0.6966762627584402 0.41534324420315594
Operating Profit Margin 0.2920820279122757 0.29177555726364335 0.3274089562641575 0.286231884057971 0.35820096376940924 0.3578495426544708 0.3793404864404187 0.4020213227845048 0.2942105522925818 0.15106773440106774 0.45555264764895753 0.21193363438023238
Pretax Profit Margin 0.20692110509826261 0.20983858570330516 0.23749782192019517 0.1642512077294686 0.2591468855970016 0.2579802128056748 0.24075085771727017 0.28940132181967293 0.16630472336015004 -0.21187854521187854 0.28107825176655327 0.08102897153584657
Net Profit Margin 0.1694673882084876 0.22782475019215986 0.21833071963756753 0.15096618357487923 0.19828663216134212 0.1142430464812395 0.14178011844146762 0.14848762603116408 0.09256700064162678 0.13463463463463463 0.20387333158858936 0.05971891014257446
Operating Cash Flow Margin 0.18840786100825976 0.22905457340507301 0.30074925945286635 0.18538647342995168 0.26343030519364624 0.21747246593242486 0.30200388977513604 0.3060929133098558 0.2973199743349292 0.21629963296629964 0.2836953677047893 0.11385661372976813
Free Cash Flow Margin 0.1713187126174879 0.21368178324365872 0.2822791427077888 0.16183574879227053 0.2523648045689809 0.20141870449878663 0.2939839601407312 0.29796420473732455 0.26886629485217906 0.19052385719052387 0.26144988222978277 0.07823836825815617
Return
Return on Assets 0.05087426788080886 0.06515431284621472 0.05390174653703863 0.032927953637441276 0.049686940966010736 0.03038578024924284 0.030569887153391286 0.03218840359949594 0.020373578982244407 0.007563970381479051 0.04009607960881874 0
Return on Equity 0.4152128401953943 0.5930372148859544 0.5601251676352258 0.34610059990770653 0.4461847389558233 0.37988826815642457 0.29141214516708586 0.12313231323132313 0.08095217541436464 0.031192022263450834 0.15413533834586465 0
Return on Capital Employed 0.09653127500352991 0.09200193892389724 0.08793523025084238 0.06715149225538346 0.09715834825966985 0.1023327817220947 0.08870889439660679 0.09303792522133279 0.06895275330969745 0.0093388063241922 0.09524851801185591 0
Return on Invested Capital 0.12060194974666053 0.10593695837372581 0.08517117333453243 0.06662853253046733 0.08030009887623357 0.08904968644476606 0.10523909659873766 0.08070395629739154 0.0547565151360223 0.010916412503698847 0.08066385060668547 0
Turnover Ratios
Receivables Turnover Ratio 9.37516688918558 10.594462540716613 10.491773308957953 9.26865671641791 10.631878557874764 11.851769911504425 10.037508225488045 10.274597273853779 9.602369668246446 2.71713508612874 6.378964941569282 0
Payables Turnover Ratio 5.341772151898734 5.154353562005277 5.441368078175896 4.607758620689655 3.6537267080745344 4.366471734892787 5.637926858803584 5.898864250946458 6.397510373443984 1.504035874439462 11.180064308681672 0
Inventory Turnover Ratio 25.42168674698795 29.37593984962406 34.802083333333336 22.270833333333332 28.011904761904763 29.866666666666667 29.844871794871796 30.381615598885794 17.49394856278366 3.418960244648318 289.75 0
Fixed Asset Turnover Ratio 2.284320104098894 2.145448548812665 1.8132701421800947 1.5607917059377945 1.7602890355010996 2.6838677354709417 2.145080391881123 2.0177154815788194 1.8842183576676277 0.4918961060276558 1.4301933873986277 0
Asset Turnover Ratio 0.3002009319823864 0.28598434889650926 0.24688118385958874 0.21811476489441103 0.2505813953488372 0.2659748771163299 0.2156147666501755 0.21677498967314862 0.22009548587536867 0.05618146030555816 0.19667152783735095 0
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share 2.901315789473684 3.2747252747252746 3.7198275862068964 1.9679487179487178 3.1471215351812365 2.463002114164905 5.831223628691983 5.446351931330472 5.92039312039312 0.7544370090194937 0.9264957264957265 0.6416928796110952
Free Cash Flow Per Share 2.638157894736842 3.0549450549450547 3.4913793103448274 1.7179487179487178 3.014925373134328 2.281183932346723 5.676371308016877 5.301716738197425 5.353808353808354 0.6645330229851615 0.8538461538461538 0.4409493851873034
Cash & Short Term Investments 2.4978070175438596 2.589010989010989 2.3426724137931036 3.3333333333333335 3.2686567164179103 1.930232558139535 4.529113924050633 6.267811158798283 3.7238329238329237 5.246435845213849 2.241880341880342 None
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Dividend Ratios
Dividend Payout Ratio 0.8319327731092437 0.655195681511471 0.7773343974461293 1.2786666666666666 0.810981098109811 1.1895424836601307 1.0226572133168927 0.874106562703054 0.9661423620367902 0.654275092936803 0.3607188703465982 0.11894647408666101
Dividend Yield 0.027815356723679213 0.033025923698977576 0.034879005900237486 0.03353091716125979 0.030159066996345234 0.029453215332452605 0.04548218987042365 0.04867407831093437 0.04762285896836252 0.007853722438306562 0.006475268334774138 0.0010072818179754366
Effective Tax Rate -0.182381280110117 -0.08571428571428572 0.08070432868672046 0.08088235294117647 0.23484848484848486 0.17221418234442837 -0.12126713261323409 0.20328388064677447 0.2406885294554088 -0.06023622047244095 0.2746741154562384 0.2629931120851597
Cash Flow Coverage Ratio 0.09114708921805029 0.10416666666666667 0.11973638570933055 0.06623516720604099 0.11150562816348115 0.09596375617792421 0.11399912562175717 0.14548581255374032 0.13813662317411543 0.025336616442907117 0.10573546625048771 0
Short Term Coverage Ratio 5.334677419354839 11.73228346456693 17.979166666666668 8.297297297297296 14.613861386138614 12.802197802197803 17.672634271099746 13.514376996805112 21.475935828877006 0.22971296952515946 3.995085995085995 0
Capital Expenditure Coverage Ratio -11.025 -14.9 -16.28301886792453 -7.871794871794871 -23.806451612903224 -13.546511627906977 -37.6566757493188 -37.65578635014837 -10.449262792714658 -8.391585760517799 -12.75294117647059 -3.1965811965811968
EBIT Per Revenue 0.2920820279122757 0.29177555726364335 0.3274089562641575 0.286231884057971 0.35820096376940924 0.3578495426544708 0.3793404864404187 0.4020213227845048 0.2942105522925818 0.15106773440106774 0.45555264764895753 0.21193363438023238
Days of Sales Outstanding 38.93264027342638 34.451960030745575 34.78916187489109 39.38003220611916 34.33071568802427 30.7970879223446 36.36360656454186 35.524506729702345 38.01145057006071 134.33266599933268 57.21931431562418 None
Days of Inventory Outstanding 14.35781990521327 12.425134374200155 10.48787788087399 16.38914873713751 13.030174245643858 12.220982142857144 12.22990678293741 12.013844320161365 20.864357677173867 106.75760286225403 1.2597066436583262 None
Days of Payables Outstanding 68.32938388625593 70.81392372664449 67.07871894642322 79.21421889616464 99.89800254993625 83.59151785714286 64.74010911121611 61.876317960942515 57.05344402646258 242.68038163387 32.64739718147829 None
Cash Conversion Cycle -15.038923707616277 -23.93682932169876 -21.80167919065814 -23.445037952907967 -52.537112616268125 -40.57344779194112 -16.14659576373684 -14.337966911078809 1.8223642207719948 -1.5901127722833053 25.831623777804218 0
Cash Conversion Ratio 1.111764705882353 1.0053981106612686 1.3774940143655225 1.228 1.3285328532853284 1.9035947712418302 2.1300863131935883 2.06140350877193 3.211943481738203 1.606567534076828 1.3915275994865213 1.9065420560747663
Free Cash Flow to Earnings 1.0109243697478991 0.9379217273954117 1.2928970470869912 1.0719999999999998 1.272727272727273 1.7630718954248366 2.0735203452527746 2.0066601689408707 2.90455878432418 1.415117719950434 1.282413350449294 1.310110450297366

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