DCF Tool

CALX

Calix Inc – Telephone Apparatus Manufacturing
innovative communications service providers rely on calix platforms to help them master and monetize the complex infrastructure between their subscribers and the cloud. calix is the leading global provider of the cloud and software platforms, systems, and services required to deliver the unified access network and smart premises of tomorrow. our platforms and services help our customers build next generation networks by embracing a devops operating model, optimize the subscriber experience by leveraging big data analytics, and turn the complexity of the smart home and business into new revenue streams.
Analysis Results
Intrinsic Value $139.70
Latest Price $39.58
Relative Value 72% undervalued
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Cash Flow (Millions)
Analysis Parameters
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Analysis Details
Growth Rate Projection

An exponential growth model was fit to the past cash flow data, giving more weight to more recent years. This model determined a growth rate estimate of 25.4%.

Weighted Average Cost of Capital (WACC)

The calculated WACC is 4.2%. This value is used as the default discount rate.

Value of Future Flows

Assuming a growth rate of 25.4%, the cash flows for the next 5 years are projected.

The present value of each year's flow is adjusted to present value using the discount rate.

Year Future flow (million) Present value (million)
2023 141 136
2024 177 163
2025 222 196
2026 279 236
2027 349 284
Terminal Value

Assuming the company was sold after the projection period at an exit multiple of 30, the terminal value of the company would be 10500 million. This corresponds to a present value of 8190 million.

Intrinsic Value Per Share

The total present value of the projected cash flows is 1020 million. Adding in the terminal value gives a total present value of 9210 million.

There are presently 65.9 million outstanding shares, so the intrinsic value per share is 139.7.

Financial Statements

The following data was to determine the past cash flows.

Current Assets 547,370,000
Current Cash 241,715,000
Current Liabilities 165,422,000
Current Debt 7,210,000
Non-Cash Working Capital (NCWC) 147,443,000
Change in NCWC 65,938,000
EBIT 52,610,000
Tax Provision 13,032,000
Depreciation and Amortization 14,315,000
Capital Expenditure -14,067,000
Unlevered Free Cash Flow 106,109,320
Current Assets 409,245,000
Current Cash 204,335,000
Current Liabilities 128,136,000
Current Debt 4,731,000
Non-Cash Working Capital (NCWC) 81,505,000
Change in NCWC 46,519,000
EBIT 73,152,000
Tax Provision -165,724,000
Depreciation and Amortization 15,012,000
Capital Expenditure -10,463,000
Unlevered Free Cash Flow 124,220,000
Current Assets 266,890,000
Current Cash 133,789,000
Current Liabilities 101,040,000
Current Debt 2,925,000
Non-Cash Working Capital (NCWC) 34,986,000
Change in NCWC 19,447,000
EBIT 43,132,000
Tax Provision 800,000
Depreciation and Amortization 13,718,000
Capital Expenditure -7,819,000
Unlevered Free Cash Flow 67,471,536
Current Assets 143,817,000
Current Cash 46,829,000
Current Liabilities 115,493,000
Current Debt 34,044,000
Non-Cash Working Capital (NCWC) 15,539,000
Change in NCWC 2,328,000
EBIT -12,927,000
Tax Provision 1,162,000
Depreciation and Amortization 10,316,000
Capital Expenditure -13,353,000
Unlevered Free Cash Flow -13,636,000
Current Assets 174,757,000
Current Cash 49,646,000
Current Liabilities 143,678,000
Current Debt 31,778,000
Non-Cash Working Capital (NCWC) 13,211,000
Change in NCWC -11,137,000
EBIT -19,513,000
Tax Provision 530,000
Depreciation and Amortization 9,187,000
Capital Expenditure -10,426,000
Unlevered Free Cash Flow -31,889,000
Current Assets 162,455,000
Current Cash 39,775,000
Current Liabilities 128,332,000
Current Debt 30,000,000
Non-Cash Working Capital (NCWC) 24,348,000
Change in NCWC 4,529,000
EBIT -77,307,000
Tax Provision 1,243,000
Depreciation and Amortization 10,991,000
Capital Expenditure -8,026,000
Unlevered Free Cash Flow -69,813,000
Current Assets 219,322,000
Current Cash 78,107,000
Current Liabilities 121,396,000
Current Debt 0
Non-Cash Working Capital (NCWC) 19,819,000
Change in NCWC -22,152,000
EBIT -32,619,000
Tax Provision 347,000
Depreciation and Amortization 14,124,000
Capital Expenditure -9,839,000
Unlevered Free Cash Flow -50,486,000
Current Assets 182,800,000
Current Cash 73,590,000
Current Liabilities 67,239,000
Current Debt 0
Non-Cash Working Capital (NCWC) 41,971,000
Change in NCWC 21,957,000
EBIT -26,510,000
Tax Provision 535,000
Depreciation and Amortization 28,823,000
Capital Expenditure -7,278,000
Unlevered Free Cash Flow 16,992,000
Current Assets 207,487,000
Current Cash 111,679,000
Current Liabilities 75,794,000
Current Debt 0
Non-Cash Working Capital (NCWC) 20,014,000
Change in NCWC -11,605,000
EBIT -20,384,000
Tax Provision 581,000
Depreciation and Amortization 27,824,000
Capital Expenditure -11,961,000
Unlevered Free Cash Flow -16,126,000
Current Assets 204,466,000
Current Cash 82,747,000
Current Liabilities 90,100,000
Current Debt 0
Non-Cash Working Capital (NCWC) 31,619,000
Change in NCWC -5,641,000
EBIT -18,453,000
Tax Provision -14,000
Depreciation and Amortization 28,742,000
Capital Expenditure -6,987,000
Unlevered Free Cash Flow -2,339,000
Current Assets 176,550,000
Current Cash 46,995,000
Current Liabilities 92,295,000
Current Debt 0
Non-Cash Working Capital (NCWC) 37,260,000
Change in NCWC -1,547,000
EBIT -27,623,000
Tax Provision 158,000
Depreciation and Amortization 26,309,000
Capital Expenditure -10,179,000
Unlevered Free Cash Flow -13,040,000

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