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FMCG_Financial_Model_Transposed

The document presents a financial overview of a company, detailing revenues, costs, profits, and projections from 2022 to 2027. It includes balance sheet data, cash flow statements, and calculations for free cash flow and enterprise value. Key figures indicate steady growth in revenues and net income, alongside detailed asset and liability management.

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Khush Shah
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0% found this document useful (0 votes)
14 views

FMCG_Financial_Model_Transposed

The document presents a financial overview of a company, detailing revenues, costs, profits, and projections from 2022 to 2027. It includes balance sheet data, cash flow statements, and calculations for free cash flow and enterprise value. Key figures indicate steady growth in revenues and net income, alongside detailed asset and liability management.

Uploaded by

Khush Shah
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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YEAR 2022 2023

Revenues ₹ 5,000.00 ₹ 5,500.00


% growth 10
Cost of Goods Sold ₹ 2,500.00 ₹ 2,700.00
% growth 8
Gross Profit ₹ 2,500.00 ₹ 2,800.00

SG&A Expenses ₹ 700.00 ₹ 750.00


% growth 7.14
Depreciation & Amortization ₹ 100.00 ₹ 110.00
% of plant & machinery 3% 3%
EBIT ₹ 1,700.00 ₹ 1,940.00

Interest Expense (Net) ₹ 100.00 ₹ 110.00


% growth 10.00
EBT ₹ 1,600.00 ₹ 1,830.00

Provisions for Taxes ₹ 400.00 ₹ 450.00


% growth 12.50
Net Profit (Continuing Ops) ₹ 1,200.00 ₹ 1,380.00

Income from Discontinued Ops ₹ 50.00 ₹ 60.00


% growth 20.00
Consolidated Net Income ₹ 1,250.00 ₹ 1,440.00

Minority Interest Share ₹ 50.00 ₹ 60.00


% growth 20.00
Net Income Attributable ₹ 1,200.00 ₹ 1,380.00
2024 2025E 2026E 2027E

₹ 6,050.00 ₹ 6,655.00 ₹ 7,320.50 ₹ 8,052.55


10 10 10 10
₹ 2,950.00 ₹ 3,223.15 ₹ 3,521.59 ₹ 3,847.66
9.26 9.26 9.26 9.26
₹ 3,100.00 ₹ 3,431.85 ₹ 3,798.91 ₹ 4,204.89

₹ 800.00 ₹ 853.33 ₹ 910.22 ₹ 970.90


6.67 6.67 6.67 6.67
₹ 120.00 ₹ 132.00 ₹ 145.20 ₹ 159.72
3% 3% 3% 3%
₹ 2,180.00 ₹ 985.33 ₹ 1,055.42 ₹ 1,130.62

₹ 120.00 ₹ 130.91 ₹ 142.81 ₹ 155.79


9.09 9.09 9.09 9.09
₹ 2,060.00 ₹ 1,116.24 ₹ 1,198.23 ₹ 1,286.42

₹ 500.00 ₹ 555.56 ₹ 617.28 ₹ 685.87


11.11 11.11 11.11 11.11
₹ 1,560.00 ₹ 560.69 ₹ 580.95 ₹ 600.55

₹ 70.00 ₹ 81.67 ₹ 95.28 ₹ 111.16


16.67 16.67 16.67 16.67
₹ 1,630.00 ₹ 642.35 ₹ 676.23 ₹ 711.70

₹ 70.00 ₹ 81.67 ₹ 95.28 ₹ 111.16


16.67 16.67 16.67 16.67
₹ 1,560.00 ₹ 560.69 ₹ 580.95 ₹ 600.55
BALANCE SHEET - ASSETS
Year 2022
Cash ₹ 500.00
% of revenue 10%
Accounts Receivables ₹ 800.00
Days Sales Outstanding (DSO) 58.40
Inventory ₹ 1,200.00
Inventory turnover ratio 2.08
Other Current Assets ₹ 300.00
% of revenue 6%

Total Current Assets ₹ 2,800.00

Plant & Machinery ₹ 4,000.00


Fixed asset to revenue ratio 1.25
Goodwill ₹ 1,000.00
% growth
Other Long-Term Assets ₹ 600.00
% of revenue 12%
Total Assets ₹ 8,401.25

BALANCE SHEET - LIABILITES

Year 2022
Short-Term Debt ₹ 1,000.00
% of revenue 20%
Accounts Payable ₹ 900.00
Days Payable Outstanding (DPO) 131.40
Other Short-Term Liabilities ₹ 600.00
% of revenue 12%
Total Liabilities ₹ 2,631.60
2023 2024 2025E 2026E 2027E
₹ 600.00 ₹ 700.00 ₹ 770.00 ₹ 847.00 ₹ 931.70
11% 12% 12% 12% 12%
₹ 900.00 ₹ 1,000.00 ₹ 1,100.00 ₹ 1,210.00 ₹ 1,331.00
59.73 60.33 60.33 60.33 60.33
₹ 1,300.00 ₹ 1,400.00 ₹ 1,529.63 ₹ 1,671.26 ₹ 1,826.01
2.08 2.11 2.11 2.11 2.11
₹ 350.00 ₹ 400.00 ₹ 440.00 ₹ 484.00 ₹ 532.40
6% 7% 7% 7% 7%

₹ 3,150.00 ₹ 3,500.00 ₹ 3,839.63 ₹ 4,212.26 ₹ 4,621.11

₹ 4,400.00 ₹ 4,800.00 ₹ 5,280.00 ₹ 5,808.00 ₹ 6,388.80


1.25 1.26 1.26041666667 1.26 1.26
₹ 1,100.00 ₹ 1,200.00 ₹ 1,309.09 ₹ 1,428.10 ₹ 1,557.93
10% 9% 9% 9% 9%
₹ 700.00 ₹ 800.00 ₹ 905.79 ₹ 1,029.07 ₹ 1,173.73
13% 13% 14% 14% 15%
₹ 9,351.35 ₹ 10,301.35 ₹ 11,335.86 ₹ 12,478.78 ₹ 13,742.91

2023 2024 2025E 2026E 2027E


₹ 1,100.00 ₹ 1,200.00 ₹ 1,438.02 ₹ 1,748.74 ₹ 2,166.49
20% 20% 22% 24% 27%
₹ 1,000.00 ₹ 1,100.00 ₹ 2,481.53 ₹ 5,636.11 ₹ 12,887.66
135.19 136.10 281.02 584.16 1222.56
₹ 700.00 ₹ 800.00 ₹ 905.79 ₹ 1,029.07 ₹ 1,173.73
13% 13% 14% 14% 15%
₹ 2,935.39 ₹ 3,236.30 ₹ 5,106.56 ₹ 8,998.32 ₹ 17,450.71
CASH FLOW FROM OPERATIONS

Consolidated Net Income


Add: Depreciation & Amortization
% of plant & machinery
Add: Interest Expense
Interest rate %
Add: Increase in Accounts Payable
Add: Increase in Other Short-Term Liabilities
Less: Increase in Inventory
Less: Increase in Accounts Receivables
Less: Increase in Other Short-Term Assets
Cash flow from operations

CASH FLOW FROM INVESTING

Less: CapEx in Plant & Machinery


Less: Increase in Goodwill
Cash flow from investing

CASH FLOW FROM FINANCING

Add: New Short-Term Debt Raised


Add: New Long-Term Debt Raised
Less: Interest Expense
Less: Short-Term Debt Repaid
Less: Long-Term Debt Repaid
Less: Dividends Paid
Dividend Payout Ratio
Less: Share Buyback
Cash flow from financing

Net Cash Flow


Opening Cash Balance
Closing Cash Balance
2022 2023 2024 2025E 2026E 2027E

₹ 1,250.00 ₹ 1,440.00 ₹ 1,630.00 ₹ 1,760.05 ₹ 1,983.40 ₹ 2,232.60


₹ 100.00 ₹ 110.00 ₹ 120.00 ₹ 132.00 ₹ 145.20 ₹ 159.72
3% 3% 3% 3% 3% 3%
₹ 100.00 ₹ 110.00 ₹ 120.00 ₹ 143.80 ₹ 174.87 ₹ 216.65
10% 10% 10% 10% 10% 10%
₹ 50.00 ₹ 60.00 ₹ 70.00 ₹ 81.67 ₹ 95.28 ₹ 111.16
₹ 30.00 ₹ 40.00 ₹ 50.00 ₹ 62.50 ₹ 78.13 ₹ 97.66
-₹ 100.00 -₹ 110.00 -₹ 120.00 -₹ 130.91 -₹ 142.81 -₹ 155.79
-₹ 80.00 -₹ 90.00 -₹ 100.00 -₹ 111.11 -₹ 123.46 -₹ 137.17
-₹ 50.00 -₹ 60.00 -₹ 70.00 -₹ 81.67 -₹ 95.28 -₹ 111.16
₹ 1,300.13 ₹ 1,500.13 ₹ 1,700.13 ₹ 1,856.46 ₹ 2,115.45 ₹ 2,413.79

-₹ 400.00 -₹ 450.00 -₹ 500.00 -₹ 555.56 -₹ 617.28 -₹ 685.87


-₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00
-₹ 500.00 -₹ 550.00 -₹ 600.00 -₹ 655.56 -₹ 717.28 -₹ 785.87

₹ 300.00 ₹ 350.00 ₹ 400.00 ₹ 457.14 ₹ 522.45 ₹ 597.08


₹ 200.00 ₹ 250.00 ₹ 300.00 ₹ 360.00 ₹ 432.00 ₹ 518.40
-₹ 100.00 -₹ 110.00 -₹ 120.00 -₹ 143.80 -₹ 174.87 -₹ 216.65
-₹ 100.00 -₹ 120.00 -₹ 140.00 -₹ 163.33 -₹ 190.56 -₹ 222.31
-₹ 150.00 -₹ 160.00 -₹ 170.00 -₹ 180.63 -₹ 191.91 -₹ 203.91
-₹ 50.00 -₹ 60.00 -₹ 70.00 -₹ 66.86 -₹ 63.86 -₹ 60.99
-4% -4% -4% -12% -11% -10%
-₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00 -₹ 100.00
₹ 0.00 ₹ 49.96 ₹ 99.96 ₹ 162.41 ₹ 233.14 ₹ 311.52

₹ 800.13 ₹ 1,000.08 ₹ 1,200.08 ₹ 1,363.31 ₹ 1,631.31 ₹ 1,939.43


₹ 100.00 ₹ 900.00 ₹ 1,900.00 ₹ 3,100.00 ₹ 4,464.40 ₹ 6,098.10
₹ 900.13 ₹ 1,900.08 ₹ 3,100.08 ₹ 4,463.31 ₹ 6,095.71 ₹ 8,037.53
CALCULATING FREE C
Year EBIT Tax Rate
2025E ₹ 984.24 25.00%
2026E ₹ 1,053.03 25.00%
2027E ₹ 1,126.70 25.00%

CALCULATING W
Em Dm Ke
₹ 12,000,000,000.00 ₹ 8,000,000,000.00 0.108

CALCULATING ENTERP
Year FCF
2025E ₹ 1,300.32
2026E ₹ 599.06
2027E ₹ 3,532.74

CALCULATING STOC

Total Equity Value ₹ 50,752.79


Share Price ₹ 240.00
ALCULATING FREE CASH FLOW
NOPAT Dep & Amort Capex Change in WC
₹ 738.18 ₹ 132.00 ₹ 555.56 -₹ 985.70
₹ 789.77 ₹ 145.20 ₹ 617.28 -₹ 281.37
₹ 845.02 ₹ 159.72 ₹ 685.87 -₹ 3,213.87
Total FCF

CALCULATING WACC
Kd Tax rate % WACC
0.0675 25% 9.52%

ALCULATING ENTERPRISE VALUE


DISCOUNTING RATE % PRESENT FCF TV FCF (WACC)
0.909 ₹ 1,181.99 ₹ 20,541.85 ₹ 1,079.25
0.826 ₹ 494.83 ₹ 9,463.72 ₹ 451.81
0.751 ₹ 2,653.09 ₹ 55,808.66 ₹ 2,422.47
Total Present FCF ₹ 4,329.91

CALCULATING STOCK PRICE


FCF
₹ 1,300.32
₹ 599.06
₹ 3,532.74
₹ 5,432.12

TV (WACC) EV
₹ 18,756.26 ₹ 19,835.50
₹ 8,641.09 ₹ 9,092.90
₹ 50,957.50 ₹ 53,379.97
Total Present EV ₹ 82,308.37

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