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EVLV - Evolv Technologies H...

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Evolv Technologies Holdings, Inc.

EVLV

NASDAQ

Evolv Technologies Holdings, Inc. provides artificial intelligence (AI)-based touchless security screening systems. Its products include Evolv Express, a touchless security screening system designed to detect firearms, improvised explosive devices, and tactical knives as visitors walk through at a normal pace; Evolv Insights that provides self-serve access, insights regarding visitor flow and arrival curves, location specific performance, system detection performance, and alarm statistics; and Evolv Edge to detect non-metallic explosive devices, explosive devices, firearms, and tactical knives without requiring visitors to divest or empty their pockets. The company is headquartered in Waltham, Massachusetts.

2.85 USD

-0.12 (-4.21%)

Operating Data

Year

2020

2021

2022

2023

2024

2025

2026

2027

2028

2029

Revenue

193.37M

422.49M

278.17M

225.88M

188.87M

203.34M

218.93M

235.7M

253.77M

273.22M

Revenue %

-

118.49

-34.16

-18.8

-16.39

7.66

7.66

7.66

7.66

Ebitda

11.03M

27.87M

-149.48M

-29.76M

-30.3M

-28.73M

-30.94M

-33.31M

-35.86M

-38.61M

Ebitda %

5.7

6.6

-53.74

-13.18

-16.04

-14.13

-14.13

-14.13

-14.13

Ebit

8.59M

15.27M

-166.61M

-46.37M

-49.74M

-40.14M

-43.22M

-46.53M

-50.09M

-53.93M

Ebit %

4.44

3.61

-59.9

-20.53

-26.34

-19.74

-19.74

-19.74

-19.74

Depreciation

2.44M

12.6M

17.13M

16.61M

19.44M

11.4M

12.28M

13.22M

14.23M

15.32M

Depreciation %

1.26

2.98

6.16

7.35

10.29

5.61

5.61

5.61

5.61

Balance Sheet

Year

2020

2021

2022

2023

2024

2025

2026

2027

2028

2029

Total Cash

177.91M

81.17M

71.91M

64.97M

56.45M

79.6M

85.7M

92.27M

99.34M

106.95M

Total Cash %

92.01

19.21

25.85

28.76

29.89

39.14

39.14

39.14

39.14

Receivables

6.51M

8.18M

9.55M

9.09M

8.42M

7M

7.54M

8.12M

8.74M

9.41M

Receivables %

3.37

1.94

3.43

4.02

4.46

3.44

3.44

3.44

3.44

Inventories

54.02M

105.57M

77.09M

64.91M

40.3M

53.16M

57.23M

61.62M

66.34M

71.42M

Inventories %

27.94

24.99

27.71

28.73

21.34

26.14

26.14

26.14

26.14

Payable

14.62M

17.03M

15.73M

11.67M

8.15M

10.87M

11.7M

12.6M

13.56M

14.6M

Payable %

7.56

4.03

5.65

5.16

4.31

5.35

5.35

5.35

5.35

Cap Ex

-4.43M

-18.74M

-12.9M

-6.7M

-1.98M

-6.25M

-6.73M

-7.25M

-7.8M

-8.4M

Cap Ex %

-2.29

-4.44

-4.64

-2.97

-1.05

-3.07

-3.07

-3.07

-3.07

Weighted Average Cost Of Capital

Price

0.96

Beta

Diluted Shares Outstanding

60.18M

Costof Debt

3.72

Tax Rate

After Tax Cost Of Debt

3.71

Risk Free Rate

Market Risk Premium

Cost Of Equity

Total Debt

37.03M

Total Equity

57.77M

Total Capital

94.81M

Debt Weighting

39.06

Equity Weighting

60.94

Wacc

13.45

Build Up Free Cash Flow

Year

2020

2021

2022

2023

2024

2025

2026

2027

2028

2029

Revenue

193.37M

422.49M

278.17M

225.88M

188.87M

203.34M

218.93M

235.7M

253.77M

273.22M

Ebitda

11.03M

27.87M

-149.48M

-29.76M

-30.3M

-28.73M

-30.94M

-33.31M

-35.86M

-38.61M

Ebit

8.59M

15.27M

-166.61M

-46.37M

-49.74M

-40.14M

-43.22M

-46.53M

-50.09M

-53.93M

Tax Rate

0.32

0.32

0.32

0.32

0.32

0.32

0.32

0.32

0.32

0.32

Ebiat

5.34M

12.82M

-163.73M

-46.4M

-49.58M

-35.64M

-38.38M

-41.32M

-44.48M

-47.89M

Depreciation

2.44M

12.6M

17.13M

16.61M

19.44M

11.4M

12.28M

13.22M

14.23M

15.32M

Receivables

6.51M

8.18M

9.55M

9.09M

8.42M

7M

7.54M

8.12M

8.74M

9.41M

Inventories

54.02M

105.57M

77.09M

64.91M

40.3M

53.16M

57.23M

61.62M

66.34M

71.42M

Payable

14.62M

17.03M

15.73M

11.67M

8.15M

10.87M

11.7M

12.6M

13.56M

14.6M

Cap Ex

-4.43M

-18.74M

-12.9M

-6.7M

-1.98M

-6.25M

-6.73M

-7.25M

-7.8M

-8.4M

Ufcf

-42.57M

-44.12M

-133.68M

-27.9M

-10.36M

-39.22M

-36.61M

-39.41M

-42.43M

-45.69M

Wacc

13.45

13.45

13.45

13.45

13.45

Pv Ufcf

-34.57M

-28.44M

-26.99M

-25.61M

-24.31M

Sum Pv Ufcf

-139.93M

Terminal Value

Growth In Perpetuity Method

Long Term Growth Rate

Wacc

13.45

Free Cash Flow T1

-46.6M

Terminal Value

-407.01M

Present Terminal Value

-216.57M

Intrinsic Value

Enterprise Value

-356.5M

Net Debt

9.56M

Equity Value

-366.06M

Diluted Shares Outstanding

60.18M

Equity Value Per Share

-6.08

Projected DCF

-6.08 1.158%

DCF Levered

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