DCF Tool

PLCE

Childrens Place Inc – Family Clothing Stores
the children’s place is the largest pure-play children’s specialty apparel retailer in north america. the company designs, contracts to manufacture, sells and licenses to sell fashionable, high-quality merchandise at value prices. as of january 28, 2017, the company operated 1,039 stores in the united states, canada and puerto rico, an online store at www.childrensplace.com, and had 150 international points of distribution open and operated by its 6 franchise partners in 17 countries.
Analysis Results
Intrinsic Value $209.45
Latest Price $25.52
Relative Value 88% 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 7.5%.

Weighted Average Cost of Capital (WACC)

The calculated WACC is 7.7%. This value is used as the default discount rate.

Value of Future Flows

Assuming a growth rate of 7.5%, 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)
2024 130 121
2025 140 121
2026 151 121
2027 162 121
2028 174 120
Terminal Value

Assuming a growth rate after the projection years of 2.0%, the terminal value of the company would be 3130 million. This corresponds to a present value of 2010 million.

Intrinsic Value Per Share

The total present value of the projected cash flows is 604 million. Adding in the terminal value gives a total present value of 2610 million.

There are presently 12.5 million outstanding shares, so the intrinsic value per share is 209.45.

Financial Statements

The following data was to determine the past cash flows.

Current Assets 561,943,000
Current Cash 16,689,000
Current Liabilities 648,385,000
Current Debt 286,990,000
Non-Cash Working Capital (NCWC) 183,859,000
Change in NCWC 73,616,000
EBIT 1,726,000
Tax Provision -13,624,000
Depreciation and Amortization 51,464,000
Capital Expenditure -45,577,000
Unlevered Free Cash Flow 81,229,000
Current Assets 581,538,000
Current Cash 54,787,000
Current Liabilities 591,826,000
Current Debt 175,318,000
Non-Cash Working Capital (NCWC) 110,243,000
Change in NCWC 175,429,000
EBIT 277,154,000
Tax Provision 69,859,000
Depreciation and Amortization 58,417,000
Capital Expenditure -29,307,000
Unlevered Free Cash Flow 406,364,434
Current Assets 547,083,000
Current Cash 63,548,000
Current Liabilities 718,499,000
Current Debt 169,778,000
Non-Cash Working Capital (NCWC) -65,186,000
Change in NCWC -22,380,000
EBIT -161,388,000
Tax Provision -71,393,000
Depreciation and Amortization 66,405,000
Capital Expenditure -30,585,000
Unlevered Free Cash Flow -147,948,000
Current Assets 449,880,000
Current Cash 68,487,000
Current Liabilities 595,007,000
Current Debt 170,808,000
Non-Cash Working Capital (NCWC) -42,806,000
Change in NCWC -126,527,000
EBIT 102,397,000
Tax Provision 15,117,000
Depreciation and Amortization 74,788,000
Capital Expenditure -57,502,000
Unlevered Free Cash Flow -24,351,215
Current Assets 435,395,000
Current Cash 69,136,000
Current Liabilities 331,399,000
Current Debt 48,861,000
Non-Cash Working Capital (NCWC) 83,721,000
Change in NCWC 25,800,000
EBIT 116,369,000
Tax Provision 7,564,000
Depreciation and Amortization 68,884,000
Capital Expenditure -71,114,000
Unlevered Free Cash Flow 131,828,212
Current Assets 656,504,000
Current Cash 259,519,000
Current Liabilities 360,524,000
Current Debt 21,460,000
Non-Cash Working Capital (NCWC) 57,921,000
Change in NCWC 3,584,000
EBIT 166,710,000
Tax Provision 76,505,000
Depreciation and Amortization 68,159,000
Capital Expenditure -58,657,000
Unlevered Free Cash Flow 100,677,444
Current Assets 611,163,000
Current Cash 243,009,000
Current Liabilities 329,197,000
Current Debt 15,380,000
Non-Cash Working Capital (NCWC) 54,337,000
Change in NCWC -24,315,000
EBIT 151,716,000
Tax Provision 44,677,000
Depreciation and Amortization 65,734,000
Capital Expenditure -34,684,000
Unlevered Free Cash Flow 112,344,766
Current Assets 581,308,000
Current Cash 227,634,000
Current Liabilities 275,022,000
Current Debt 0
Non-Cash Working Capital (NCWC) 78,652,000
Change in NCWC -30,869,000
EBIT 92,549,000
Tax Provision 31,498,000
Depreciation and Amortization 62,685,000
Capital Expenditure -42,145,000
Unlevered Free Cash Flow 49,605,956
Current Assets 609,279,000
Current Cash 225,291,000
Current Liabilities 274,467,000
Current Debt 0
Non-Cash Working Capital (NCWC) 109,521,000
Change in NCWC -11,953,000
EBIT 91,120,000
Tax Provision 22,987,000
Depreciation and Amortization 60,494,000
Capital Expenditure -72,212,000
Unlevered Free Cash Flow 41,225,833
Current Assets 629,320,000
Current Cash 236,497,000
Current Liabilities 271,349,000
Current Debt 0
Non-Cash Working Capital (NCWC) 121,474,000
Change in NCWC -23,127,000
EBIT 105,010,000
Tax Provision 23,522,000
Depreciation and Amortization 64,858,000
Capital Expenditure -72,606,000
Unlevered Free Cash Flow 41,867,073
Current Assets 545,235,000
Current Cash 209,128,000
Current Liabilities 191,506,000
Current Debt 0
Non-Cash Working Capital (NCWC) 144,601,000
Change in NCWC -20,514,000
EBIT 103,087,000
Tax Provision 26,452,000
Depreciation and Amortization 77,435,000
Capital Expenditure -90,182,000
Unlevered Free Cash Flow 39,424,558

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