Frasers Group plc (FRASL) DCF Valuation

Frasers Group plc (Fras.L) Valation DCF

GB | Consumer Cyclical | Specialty Retail | LSE
Frasers Group plc (FRASL) DCF Valuation

Entièrement Modifiable: Adapté À Vos Besoins Dans Excel Ou Sheets

Conception Professionnelle: Modèles Fiables Et Conformes Aux Normes Du Secteur

Pré-Construits Pour Une Utilisation Rapide Et Efficace

Compatible MAC/PC, entièrement débloqué

Aucune Expertise N'Est Requise; Facile À Suivre

Frasers Group plc (FRAS.L) Bundle

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Améliorez vos choix d'investissement avec la calculatrice DCF Frasers Group Plc (FRASL)! Plongez dans des données financières authentiques, ajustez les prédictions et les dépenses de croissance et observez instantanément comment ces modifications affectent la valeur intrinsèque de Frasers Group plc (FRASL).


Discounted Cash Flow (DCF) - (USD MM)

Year AY1
2021
AY2
2022
AY3
2023
AY4
2024
AY5
2025
FY1
2026
FY2
2027
FY3
2028
FY4
2029
FY5
2030
Revenue 3,507.3 4,691.1 5,556.7 5,537.7 4,925.6 5,428.1 5,981.9 6,592.2 7,264.8 8,005.9
Revenue Growth, % 0 33.75 18.45 -0.34193 -11.05 10.2 10.2 10.2 10.2 10.2
EBITDA 337.3 609.7 976.2 883.1 778.7 781.0 860.7 948.5 1,045.2 1,151.9
EBITDA, % 9.62 13 17.57 15.95 15.81 14.39 14.39 14.39 14.39 14.39
Depreciation 305.6 254.1 269.2 284.6 275.4 322.5 355.4 391.6 431.6 475.6
Depreciation, % 8.71 5.42 4.84 5.14 5.59 5.94 5.94 5.94 5.94 5.94
EBIT 31.7 355.6 707.0 598.5 503.3 458.5 505.3 556.8 613.6 676.2
EBIT, % 0.90383 7.58 12.72 10.81 10.22 8.45 8.45 8.45 8.45 8.45
Total Cash 457.0 336.8 332.9 358.6 252.2 410.3 452.2 498.3 549.2 605.2
Total Cash, percent .0 .0 .0 .0 .0 .0 .0 .0 .0 .0
Account Receivables 461.9 728.9 296.0 571.5 318.1
Account Receivables, % 13.17 15.54 5.33 10.32 6.46
Inventories 1,096.6 1,277.6 1,464.9 1,355.3 1,128.3 1,435.7 1,582.2 1,743.6 1,921.5 2,117.5
Inventories, % 31.27 27.23 26.36 24.47 22.91 26.45 26.45 26.45 26.45 26.45
Accounts Payable 279.3 358.1 374.9 328.2 339.9 381.8 420.8 463.7 511.0 563.2
Accounts Payable, % 7.96 7.63 6.75 5.93 6.9 7.03 7.03 7.03 7.03 7.03
Capital Expenditure -220.4 -323.2 -469.4 -267.2 -411.7 -377.8 -416.4 -458.9 -505.7 -557.3
Capital Expenditure, % -6.28 -6.89 -8.45 -4.83 -8.36 -6.96 -6.96 -6.96 -6.96 -6.96
Tax Rate, % 23.01 23.01 23.01 23.01 23.01 23.01 23.01 23.01 23.01 23.01
EBITAT 2,192.6 289.6 548.1 449.5 387.5 376.9 415.4 457.8 504.5 556.0
Depreciation
Changes in Account Receivables
Changes in Inventories
Changes in Accounts Payable
Capital Expenditure
UFCF 998.6 -148.7 610.3 254.3 743.3 -177.4 190.6 210.0 231.5 255.1
WACC, % 8.47 8.02 7.92 7.86 7.91 8.04 8.04 8.04 8.04 8.04
PV UFCF
SUM PV UFCF 508.9
Long Term Growth Rate, % 3.00
Free cash flow (T + 1) 263
Terminal Value 5,216
Present Terminal Value 3,544
Enterprise Value 4,053
Net Debt 1,609
Equity Value 2,444
Diluted Shares Outstanding, MM 433
Equity Value Per Share 564.54

What You Will Receive

  • Authentic Frasers Group Data: Comprehensive financial metrics – including revenue and EBIT – derived from actual and projected data.
  • Complete Customization: Modify all essential parameters (highlighted cells) such as WACC, growth %, and tax rates.
  • Real-Time Valuation Adjustments: Instant recalculations to assess the effects of changes on Frasers Group's fair value.
  • Flexible Excel Template: Designed for quick modifications, scenario analysis, and thorough projections.
  • Efficient and Precise: Eliminate the need to build models from the ground up while ensuring accuracy and adaptability.

Key Features

  • Customizable Forecast Inputs: Adjust vital metrics such as revenue growth, EBITDA %, and capital expenditures.
  • Instant DCF Valuation: Automatically computes intrinsic value, NPV, and other financial metrics with ease.
  • High-Precision Accuracy: Leverages Frasers Group plc’s (FRASL) real-world financial data for dependable valuation results.
  • Effortless Scenario Analysis: Explore various assumptions and assess their impacts effortlessly.
  • Efficiency-Boosting Solution: Remove the hassle of constructing intricate valuation models from the ground up.

How It Works

  • 1. Access the Template: Download and open the Excel file containing Frasers Group plc's (FRASL) preloaded data.
  • 2. Modify Assumptions: Adjust key inputs such as growth projections, WACC, and capital expenditure figures.
  • 3. Instant Results: The DCF model automatically calculates the intrinsic value and NPV.
  • 4. Explore Scenarios: Evaluate multiple forecasts to assess various valuation outcomes.
  • 5. Present with Confidence: Showcase professional valuation insights to inform your strategic decisions.

Why Choose This Calculator for Frasers Group plc (FRASL)?

  • User-Friendly Interface: Perfect for both novices and seasoned professionals.
  • Customizable Parameters: Easily adjust inputs to suit your specific analysis needs.
  • Real-Time Feedback: Observe immediate updates to Frasers Group's valuation as you modify inputs.
  • Preloaded Insights: Comes with Frasers Group's actual financial data for swift assessments.
  • Relied Upon by Experts: Utilized by investors and analysts for making well-informed decisions.

Who Should Use This Product?

  • Investors: Accurately assess Frasers Group plc’s (FRASL) fair value prior to making investment choices.
  • CFOs: Utilize a top-tier DCF model for comprehensive financial reporting and analysis.
  • Consultants: Easily customize the template for client valuation reports.
  • Entrepreneurs: Acquire insights into financial modeling techniques employed by leading firms.
  • Educators: Employ it as a resource to teach valuation methodologies effectively.

Contents of the Template

  • Preloaded FRASL Data: Historical and projected financial metrics, including revenue, EBIT, and capital expenditures.
  • DCF and WACC Models: Advanced sheets designed for calculating intrinsic value and Weighted Average Cost of Capital.
  • Editable Inputs: Yellow-highlighted cells for customizing revenue growth, tax rates, and discount rates.
  • Financial Statements: Detailed annual and quarterly financial reports for in-depth analysis.
  • Key Ratios: Metrics for profitability, leverage, and efficiency to assess performance.
  • Dashboard and Charts: Visual representations of valuation results and underlying assumptions.


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