Discounted Cash Flow (DCF) Analysis Unlevered

Inari Medical, Inc. (NARI)

$60.29

+1.32 (+2.24%)
All numbers are in Millions, Currency in USD
Stock DCF: -16,741.67 | 60.29 | 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 6.8351.13139.67276.98383.471,302.494,424.0215,026.5551,038.93173,357.98
Revenue (%)
EBITDA -8.980.3416.3115.29-18.77-308.88-1,049.13-3,563.45-12,103.55-41,110.73
EBITDA (%)
EBIT -9.27-0.2714.9210.98-25.89-334.27-1,135.37-3,856.39-13,098.55-44,490.33
EBIT (%)
Depreciation 0.280.611.384.317.1225.3986.25292.949953,379.60
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 21.8323.64164.21176.10326.401,646.925,593.9219,000.2064,535.76219,201.07
Total Cash (%)
Account Receivables 2.2311.3028.0142.3558.61274.51932.403,166.9810,756.9136,536.73
Account Receivables (%)
Inventories 1.093.9510.6021.0532.58123.54419.631,425.314,841.1816,443.47
Inventories (%)
Accounts Payable 0.712.553.056.547.6657.26194.50660.632,243.897,621.56
Accounts Payable (%)
Capital Expenditure -0.75-3.14-5.46-13.64-9.95-74.52-253.11-859.71-2,920.08-9,918.30
Capital Expenditure (%)

Weighted Average Cost Of Capital

Share price $ 60.29
Beta 1.118
Diluted Shares Outstanding 52.84
Cost of Debt
Tax Rate -11.77
After-tax Cost of Debt 0.91%
Risk-Free Rate
Market Risk Premium
Cost of Equity 8.977
Total Debt 32.29
Total Equity 3,185.58
Total Capital 3,217.87
Debt Weighting 1.00
Equity Weighting 99.00
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 6.8351.13139.67276.98383.471,302.494,424.0215,026.5551,038.93173,357.98
EBITDA -8.980.3416.3115.29-18.77-308.88-1,049.13-3,563.45-12,103.55-41,110.73
EBIT -9.27-0.2714.9210.98-25.89-334.27-1,135.37-3,856.39-13,098.55-44,490.33
Tax Rate 0.00%0.00%0.00%7.91%-11.77%-0.77%-0.77%-0.77%-0.77%-0.77%
EBIAT -9.27-0.2714.9210.11-28.94-336.85-1,144.14-3,886.18-13,199.72-44,833.95
Depreciation 0.280.611.384.317.1225.3986.25292.949953,379.60
Accounts Receivable --9.07-16.71-14.34-16.26-215.90-657.89-2,234.58-7,589.93-25,779.82
Inventories --2.86-6.64-10.46-11.53-90.96-296.09-1,005.68-3,415.87-11,602.29
Accounts Payable -1.830.503.491.1249.60137.24466.131,583.265,377.67
Capital Expenditure -0.75-3.14-5.46-13.64-9.95-74.52-253.11-859.71-2,920.08-9,918.30
UFCF -9.74-12.90-12-20.53-58.44-643.24-2,127.75-7,227.07-24,547.34-83,377.10
WACC
PV UFCF -590.67-1,794.17-5,596.01-17,453.92-54,438.65
SUM PV UFCF -79,873.43

Terminal Value

Growth in perpetuity method:
Long-term growth rate
WACC (%) 8.90
Free cash flow (t + 1) -85,044.64
Terminal Value -1,232,531.01
Present Value of Terminal Value -804,745.31

Intrinsic Value

Enterprise Value -884,618.74
Net Debt -27.93
Equity Value -884,590.81
Shares Outstanding 52.84
Equity Value Per Share -16,741.67