Discounted Cash Flow (DCF) Analysis Levered
Artea SA (ARTE.PA)
22 €
0.00 (0.00%)
All numbers are in Millions, Currency in USD
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 | 22.90 | 73.06 | 25.36 | 33.55 | 105.69 | 211.68 | 423.94 | 849.06 | 1,700.48 | 3,405.70 |
---|---|---|---|---|---|---|---|---|---|---|
Revenue (%) | ||||||||||
Operating Cash Flow | -15.92 | 39.78 | 12.40 | 16.41 | 27.38 | 45.98 | 92.09 | 184.44 | 369.39 | 739.81 |
Operating Cash Flow (%) | ||||||||||
Capital Expenditure | -15.82 | -11.97 | -21.58 | -16.77 | -9.47 | -97.16 | -194.58 | -389.70 | -780.49 | -1,563.15 |
Capital Expenditure (%) | ||||||||||
Free Cash Flow | -31.74 | 27.81 | -9.18 | -0.36 | 17.90 | -51.17 | -102.49 | -205.26 | -411.10 | -823.34 |
Weighted Average Cost Of Capital
Share price | $ 22 |
---|---|
Beta | 0.540 |
Diluted Shares Outstanding | 107.49 |
Cost of Debt | |
Tax Rate | -20.14 |
After-tax Cost of Debt | 2.76% |
Risk-Free Rate | |
Market Risk Premium | |
Cost of Equity | 6.359 |
Total Debt | 155.23 |
Total Equity | 2,364.69 |
Total Capital | 2,519.93 |
Debt Weighting | 6.16 |
Equity Weighting | 93.84 |
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 | 22.90 | 73.06 | 25.36 | 33.55 | 105.69 | 211.68 | 423.94 | 849.06 | 1,700.48 | 3,405.70 |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow | -15.92 | 39.78 | 12.40 | 16.41 | 27.38 | 45.98 | 92.09 | 184.44 | 369.39 | 739.81 |
Capital Expenditure | -15.82 | -11.97 | -21.58 | -16.77 | -9.47 | -97.16 | -194.58 | -389.70 | -780.49 | -1,563.15 |
Free Cash Flow | -31.74 | 27.81 | -9.18 | -0.36 | 17.90 | -51.17 | -102.49 | -205.26 | -411.10 | -823.34 |
WACC | ||||||||||
PV LFCF | -48.21 | -90.97 | -171.66 | -323.91 | -611.20 | |||||
SUM PV LFCF | -1,245.96 |
Terminal Value
Growth in perpetuity method: | |
---|---|
Long-term growth rate | |
WACC (%) | 6.14 |
Free cash flow (t + 1) | -839.81 |
Terminal Value | -20,285.16 |
Present Value of Terminal Value | -15,058.55 |
Intrinsic Value
Enterprise Value | -16,304.51 |
---|---|
Net Debt | 132.82 |
Equity Value | -16,437.33 |
Shares Outstanding | 107.49 |
Equity Value Per Share | -152.93 |