Discounted Cash Flow (DCF) Analysis Levered

Eurasia Groupe SA (ALEUA.PA)

3.44 €

0.00 (0.00%)
All numbers are in Millions, Currency in USD
Stock DCF: -Infinity | 3.44 | overvalue

Free Cash Flow

Year
A/P
2017
Actual
2018
Actual
2019
Actual
2020
Actual
2021
Actual
2022
Projected
2023
Projected
2024
Projected
2025
Projected
2026
Projected
Revenue 41.5543.4451.0945.8232.2330.8029.4328.1226.8725.67
Revenue (%)
Operating Cash Flow 0.502.3012.0620.80-12.482.272.172.071.981.89
Operating Cash Flow (%)
Capital Expenditure -3.30-7.75-1.66-6.96-9.61-4.56-4.36-4.16-3.98-3.80
Capital Expenditure (%)
Free Cash Flow -2.79-5.4510.4013.84-22.08-2.29-2.19-2.09-2-1.91

Weighted Average Cost Of Capital

Share price $ 3.44
Beta 0.018
Diluted Shares Outstanding -
Cost of Debt
Tax Rate 31.20
After-tax Cost of Debt 2.93%
Risk-Free Rate
Market Risk Premium
Cost of Equity 4.340
Total Debt 57.22
Total Equity -
Total Capital 57.22
Debt Weighting 100.00
Equity Weighting 0.00
Wacc

Build Up Free Cash Flow

Year
A/P
2017
Actual
2018
Actual
2019
Actual
2020
Actual
2021
Actual
2022
Projected
2023
Projected
2024
Projected
2025
Projected
2026
Projected
Revenue 41.5543.4451.0945.8232.2330.8029.4328.1226.8725.67
Operating Cash Flow 0.502.3012.0620.80-12.482.272.172.071.981.89
Capital Expenditure -3.30-7.75-1.66-6.96-9.61-4.56-4.36-4.16-3.98-3.80
Free Cash Flow -2.79-5.4510.4013.84-22.08-2.29-2.19-2.09-2-1.91
WACC
PV LFCF -2.23-2.07-1.92-1.78-1.65
SUM PV LFCF -9.65

Terminal Value

Growth in perpetuity method:
Long-term growth rate
WACC (%) 2.93
Free cash flow (t + 1) -1.95
Terminal Value -209.69
Present Value of Terminal Value -181.50

Intrinsic Value

Enterprise Value -191.16
Net Debt 55.77
Equity Value -246.93
Shares Outstanding -
Equity Value Per Share -Infinity