Discounted Cash Flow (DCF) Analysis Unlevered

Medigus Ltd. WT C EXP 072323 (MDGSW)

$0.0213

-0.00 (-7.79%)
All numbers are in Millions, Currency in USD
Stock DCF: -Infinity | 0.0213 | overvalue

Operating Data

Year
A/P
2018
Actual
2019
Actual
2020
Actual
2021
Actual
2022
Actual
2023
Projected
2024
Projected
2025
Projected
2026
Projected
2027
Projected
Revenue 0.440.270.5310.1291.86705.115,412.5341,547.28318,921.962,448,083.83
Revenue (%)
EBITDA -6.78-14.45-7.89-22.22-11.99-12,082.08-92,743.55-711,910.79-5,464,713.94-41,947,810.04
EBITDA (%)
EBIT -6.82-14.53-8.05-22.54-15.22-12,188.19-93,558.05-718,163.01-5,512,706.75-42,316,208.68
EBIT (%)
Depreciation 0.040.070.170.323.24106.11814.506,252.2247,992.81368,398.65
Depreciation (%)

Balance Sheet Data

Year
A/P
2018
Actual
2019
Actual
2020
Actual
2021
Actual
2022
Actual
2023
Projected
2024
Projected
2025
Projected
2026
Projected
2027
Projected
Total Cash 10.637.0422.3627.3425.0513,429.85103,089.15791,324.866,074,306.0346,627,113.15
Total Cash (%)
Account Receivables 0.100.070.261.6925.23198.791,525.9311,713.1989,911.85690,174.29
Account Receivables (%)
Inventories 0.080.900.241.231.79575.504,417.5833,909.86260,296.241,998,065.67
Inventories (%)
Accounts Payable 0.190.070.140.7020.42178.511,370.2910,518.5380,741.50619,781.58
Accounts Payable (%)
Capital Expenditure -0.01-0.06-0.32-5.14-0.07-193.44-1,484.89-11,398.18-87,493.79-671,612.97
Capital Expenditure (%)

Weighted Average Cost Of Capital

Share price $ 0.0,213
Beta 0.000
Diluted Shares Outstanding -
Cost of Debt
Tax Rate -1.10
After-tax Cost of Debt 4.32%
Risk-Free Rate
Market Risk Premium
Cost of Equity 4.317
Total Debt 10.13
Total Equity -
Total Capital 10.13
Debt Weighting 100.00
Equity Weighting 0.00
Wacc

Build Up Free Cash

Year
A/P
2018
Actual
2019
Actual
2020
Actual
2021
Actual
2022
Actual
2023
Projected
2024
Projected
2025
Projected
2026
Projected
2027
Projected
Revenue 0.440.270.5310.1291.86705.115,412.5341,547.28318,921.962,448,083.83
EBITDA -6.78-14.45-7.89-22.22-11.99-12,082.08-92,743.55-711,910.79-5,464,713.94-41,947,810.04
EBIT -6.82-14.53-8.05-22.54-15.22-12,188.19-93,558.05-718,163.01-5,512,706.75-42,316,208.68
Tax Rate -0.30%0.01%-0.13%2.53%-1.10%0.20%0.20%0.20%0.20%0.20%
EBIAT -6.84-14.53-8.06-21.97-15.39-12,163.78-93,370.63-716,724.35-5,501,663.43-42,231,438.85
Depreciation 0.040.070.170.323.24106.11814.506,252.2247,992.81368,398.65
Accounts Receivable -0.02-0.18-1.44-23.54-173.56-1,327.14-10,187.26-78,198.66-600,262.45
Inventories --0.820.66-0.98-0.56-573.71-3,842.08-29,492.29-226,386.38-1,737,769.43
Accounts Payable --0.120.060.5619.72158.091,191.789,148.2470,222.97539,040.08
Capital Expenditure -0.01-0.06-0.32-5.14-0.07-193.44-1,484.89-11,398.18-87,493.79-671,612.97
UFCF -6.81-15.43-7.68-28.66-16.62-12,840.28-98,018.46-752,401.62-5,775,526.48-44,333,644.97
WACC
PV UFCF -12,308.55-90,068.45-662,745.80-4,876,646.39-35,883,562.01
SUM PV UFCF -41,525,331.21

Terminal Value

Growth in perpetuity method:
Long-term growth rate
WACC (%) 4.32
Free cash flow (t + 1) -45,220,317.87
Terminal Value -1,949,151,632.35
Present Value of Terminal Value -1,577,639,364.38

Intrinsic Value

Enterprise Value -1,619,164,695.59
Net Debt -9.93
Equity Value -1,619,164,685.66
Shares Outstanding -
Equity Value Per Share -Infinity