Discounted Cash Flow (DCF) Analysis Levered
Fair Isaac Corporation (FICO)
$791.6
+0.76 (+0.10%)
All numbers are in Millions, Currency in USD
Free Cash Flow
Year A/P | 2018 Actual | 2019 Actual | 2020 Actual | 2021 Actual | 2022 Actual | 2023 Projected | 2024 Projected | 2025 Projected | 2026 Projected | 2027 Projected |
Revenue | 1,032.47 | 1,160.08 | 1,294.56 | 1,316.54 | 1,377.27 | 1,481.47 | 1,593.55 | 1,714.11 | 1,843.79 | 1,983.28 |
---|---|---|---|---|---|---|---|---|---|---|
Revenue (%) | ||||||||||
Operating Cash Flow | 223.05 | 260.35 | 364.92 | 423.82 | 509.45 | 419.01 | 450.71 | 484.81 | 521.48 | 560.94 |
Operating Cash Flow (%) | ||||||||||
Capital Expenditure | -31.30 | -23.98 | -21.99 | -7.57 | -6.03 | -23.14 | -24.89 | -26.77 | -28.80 | -30.98 |
Capital Expenditure (%) | ||||||||||
Free Cash Flow | 191.75 | 236.37 | 342.93 | 416.25 | 503.42 | 395.87 | 425.82 | 458.03 | 492.68 | 529.96 |
Weighted Average Cost Of Capital
Share price | $ 791.6 |
---|---|
Beta | 1.264 |
Diluted Shares Outstanding | 26.35 |
Cost of Debt | |
Tax Rate | 20.74 |
After-tax Cost of Debt | 2.86% |
Risk-Free Rate | |
Market Risk Premium | |
Cost of Equity | 9.659 |
Total Debt | 1,912.23 |
Total Equity | 20,856.29 |
Total Capital | 22,768.52 |
Debt Weighting | 8.40 |
Equity Weighting | 91.60 |
Wacc |
Build Up Free Cash Flow
Year A/P | 2018 Actual | 2019 Actual | 2020 Actual | 2021 Actual | 2022 Actual | 2023 Projected | 2024 Projected | 2025 Projected | 2026 Projected | 2027 Projected |
Revenue | 1,032.47 | 1,160.08 | 1,294.56 | 1,316.54 | 1,377.27 | 1,481.47 | 1,593.55 | 1,714.11 | 1,843.79 | 1,983.28 |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow | 223.05 | 260.35 | 364.92 | 423.82 | 509.45 | 419.01 | 450.71 | 484.81 | 521.48 | 560.94 |
Capital Expenditure | -31.30 | -23.98 | -21.99 | -7.57 | -6.03 | -23.14 | -24.89 | -26.77 | -28.80 | -30.98 |
Free Cash Flow | 191.75 | 236.37 | 342.93 | 416.25 | 503.42 | 395.87 | 425.82 | 458.03 | 492.68 | 529.96 |
WACC | ||||||||||
PV LFCF | 362.88 | 357.81 | 352.81 | 347.88 | 343.02 | |||||
SUM PV LFCF | 1,764.40 |
Terminal Value
Growth in perpetuity method: | |
---|---|
Long-term growth rate | |
WACC (%) | 9.09 |
Free cash flow (t + 1) | 540.56 |
Terminal Value | 7,624.22 |
Present Value of Terminal Value | 4,934.81 |
Intrinsic Value
Enterprise Value | 6,699.21 |
---|---|
Net Debt | 1,779.03 |
Equity Value | 4,920.18 |
Shares Outstanding | 26.35 |
Equity Value Per Share | 186.75 |