DCF Tool

HIMX

Himax Technologies – Semiconductor and Related Device Manufacturing
奇景光電於民國九十年六月十二日創立,是一家專業的驅動 ic 設計公司,總部設於台南,在台北、新竹也分別設有技術研發與行銷業務辦公室。為了服務客戶,奇景在日本、韓國、大陸等地,也陸續成立了技術支援與業務辦公室。 奇景專精各種 tft-lcd 相關應用的平面顯示器之積體電路的研發、設計、製造管理與銷售。其終端運用產品範圍涵蓋手機、數位相機、數位攝影機、汽車用的顯示器、手持式 dvd 播放器、筆記型電腦、液晶顯示器,以及液晶電視等等。 【公司簡介】 1. 成立於民國 90 年 6 月 12 日。 2. 為南科首家量產之 ic 設計公司。 3. 提供 tft-lcd 完整的解決方案。 4. 透過奇美集團進行上下游光電產業密切配合。 5. 自有技術應用於視訊產品整合方案之類比暨數位邏輯開發。 6. 堅強具實務的經營團隊。 7. 具有與 ic 代工廠共同開發新製程能力。
Analysis Results
Intrinsic Value $407.11
Latest Price $5.78
Relative Value 99% undervalued
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Cash Flow (Billions)
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 32.0%.

Weighted Average Cost of Capital (WACC)

The calculated WACC is 2.7%. This value is used as the default discount rate.

Value of Future Flows

Assuming a growth rate of 32.0%, 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 (billion) Present value (billion)
2023 0.825 0.804
2024 1.09 1.03
2025 1.44 1.33
2026 1.9 1.7
2027 2.51 2.19
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 75.2 billion. This corresponds to a present value of 63.9 billion.

Intrinsic Value Per Share

The total present value of the projected cash flows is 7.06 billion. Adding in the terminal value gives a total present value of 71.0 billion.

There are presently 174.0 million outstanding shares, so the intrinsic value per share is 407.11.

Financial Statements

The following data was to determine the past cash flows.

Current Assets 1,336,808,000
Current Cash 221,581,000
Current Liabilities 693,995,000
Current Debt 379,518,000
Non-Cash Working Capital (NCWC) 800,750,000
Change in NCWC 383,153,000
EBIT 256,844,000
Tax Provision 41,098,000
Depreciation and Amortization 21,342,000
Capital Expenditure -12,128,000
Unlevered Free Cash Flow 611,043,572
Current Assets 1,192,844,000
Current Cash 336,024,000
Current Liabilities 601,225,000
Current Debt 162,002,000
Non-Cash Working Capital (NCWC) 417,597,000
Change in NCWC 147,298,000
EBIT 543,629,000
Tax Provision 110,657,000
Depreciation and Amortization 21,342,000
Capital Expenditure -8,030,000
Unlevered Free Cash Flow 593,777,674
Current Assets 694,411,000
Current Cash 184,938,000
Current Liabilities 352,242,000
Current Debt 113,068,000
Non-Cash Working Capital (NCWC) 270,299,000
Change in NCWC 147,576,000
EBIT 57,288,000
Tax Provision 11,712,000
Depreciation and Amortization 23,596,000
Capital Expenditure -5,873,000
Unlevered Free Cash Flow 210,789,330
Current Assets 604,668,000
Current Cash 101,055,000
Current Liabilities 380,890,000
Current Debt 0
Non-Cash Working Capital (NCWC) 122,723,000
Change in NCWC -206,871,000
EBIT -18,784,000
Tax Provision 416,000
Depreciation and Amortization 24,399,000
Capital Expenditure -45,922,000
Unlevered Free Cash Flow -247,178,000
Current Assets 654,415,000
Current Cash 117,666,000
Current Liabilities 391,155,000
Current Debt 184,000,000
Non-Cash Working Capital (NCWC) 329,594,000
Change in NCWC 7,277,000
EBIT 2,290,000
Tax Provision 994,000
Depreciation and Amortization 20,327,000
Capital Expenditure -49,672,000
Unlevered Free Cash Flow -20,102,253
Current Assets 661,418,000
Current Cash 148,902,000
Current Liabilities 337,199,000
Current Debt 147,000,000
Non-Cash Working Capital (NCWC) 322,317,000
Change in NCWC 707,000
EBIT 6,950,000
Tax Provision 4,520,000
Depreciation and Amortization 16,680,000
Capital Expenditure -39,818,000
Unlevered Free Cash Flow -16,516,467
Current Assets 702,965,000
Current Cash 194,609,000
Current Liabilities 324,746,000
Current Debt 138,000,000
Non-Cash Working Capital (NCWC) 321,610,000
Change in NCWC -55,155,000
EBIT 57,958,000
Tax Provision 10,671,000
Depreciation and Amortization 13,756,000
Capital Expenditure -7,902,000
Unlevered Free Cash Flow -1,751,795
Current Assets 697,835,000
Current Cash 148,340,000
Current Liabilities 352,730,000
Current Debt 180,000,000
Non-Cash Working Capital (NCWC) 376,765,000
Change in NCWC 60,437,000
EBIT 30,595,000
Tax Provision 11,405,000
Depreciation and Amortization 14,164,000
Capital Expenditure -9,982,000
Unlevered Free Cash Flow 84,597,394
Current Assets 729,576,000
Current Cash 187,843,000
Current Liabilities 355,405,000
Current Debt 130,000,000
Non-Cash Working Capital (NCWC) 316,328,000
Change in NCWC 3,112,000
EBIT 72,645,000
Tax Provision 21,591,000
Depreciation and Amortization 14,592,000
Capital Expenditure -10,931,000
Unlevered Free Cash Flow 61,071,938
Current Assets 639,657,000
Current Cash 128,108,000
Current Liabilities 303,833,000
Current Debt 105,500,000
Non-Cash Working Capital (NCWC) 313,216,000
Change in NCWC 54,154,000
EBIT 74,221,000
Tax Provision 19,476,000
Depreciation and Amortization 14,309,000
Capital Expenditure -18,412,000
Unlevered Free Cash Flow 105,100,538
Current Assets 567,088,000
Current Cash 138,909,000
Current Liabilities 242,117,000
Current Debt 73,000,000
Non-Cash Working Capital (NCWC) 259,062,000
Change in NCWC 10,842,000
EBIT 66,932,000
Tax Provision 15,748,000
Depreciation and Amortization 13,299,000
Capital Expenditure -6,560,000
Unlevered Free Cash Flow 68,514,986

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