DCF Tool

SSTK

Shutterstock Inc – Data Processing, Hosting, and Related Services
shutterstock, inc. operates an online marketplace for commercial digital images, videos and music. we offer various photographs covering various subjects, such as animals/wildlife, the arts, backgrounds/textures, beauty/fashion, buildings/landmarks, business/finance, celebrities, education, food and drink, healthcare/medical, holidays, nature, objects, people, religion, science, sports/recreation, technology, and transportation; illustrations and vector art images; and video footage for users engaged in producing video advertisements, commercial motion pictures, television programming, video games, interactive applications, and other video-based media. we provide products for users to enhance their visual communications, such as websites, digital and print marketing materials, corporate communications, books, publications, and video content. we also license commercial digital imagery to our customers; and offers online learning platform for digital professionals. we serve business cust
Analysis Results
Intrinsic Value $277.93
Latest Price $36.67
Relative Value 87% 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 55.9%.

Weighted Average Cost of Capital (WACC)

The calculated WACC is 10.0%. This value is used as the default discount rate.

Value of Future Flows

Assuming a growth rate of 55.9%, 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 0.19 0.173
2024 0.297 0.245
2025 0.462 0.347
2026 0.721 0.492
2027 1.12 0.698
Terminal Value

Assuming a growth rate after the projection years of 2.0%, the terminal value of the company would be 14.3 billion. This corresponds to a present value of 8.07 billion.

Intrinsic Value Per Share

The total present value of the projected cash flows is 1.96 billion. Adding in the terminal value gives a total present value of 10.0 billion.

There are presently 36.1 million outstanding shares, so the intrinsic value per share is 277.93.

Financial Statements

The following data was to determine the past cash flows.

Current Assets 215,671,000
Current Cash 115,154,000
Current Liabilities 383,734,000
Current Debt 50,000,000
Non-Cash Working Capital (NCWC) -233,217,000
Change in NCWC 26,369,000
EBIT 112,288,000
Tax Provision 14,934,000
Depreciation and Amortization 68,470,000
Capital Expenditure -63,534,000
Unlevered Free Cash Flow 125,172,918
Current Assets 388,215,000
Current Cash 314,017,000
Current Liabilities 333,784,000
Current Debt 0
Non-Cash Working Capital (NCWC) -259,586,000
Change in NCWC -63,153,000
EBIT 108,106,000
Tax Provision 12,853,000
Depreciation and Amortization 48,771,000
Capital Expenditure -68,638,000
Unlevered Free Cash Flow 11,819,440
Current Assets 489,070,000
Current Cash 428,574,000
Current Liabilities 256,929,000
Current Debt 0
Non-Cash Working Capital (NCWC) -196,433,000
Change in NCWC -24,258,000
EBIT 85,266,000
Tax Provision 17,757,000
Depreciation and Amortization 41,359,000
Capital Expenditure -25,630,000
Unlevered Free Cash Flow 59,824,381
Current Assets 376,980,000
Current Cash 303,261,000
Current Liabilities 245,894,000
Current Debt 0
Non-Cash Working Capital (NCWC) -172,175,000
Change in NCWC -24,741,000
EBIT 20,155,000
Tax Provision 4,808,000
Depreciation and Amortization 49,915,000
Capital Expenditure -26,081,000
Unlevered Free Cash Flow 15,358,722
Current Assets 306,721,000
Current Cash 230,852,000
Current Liabilities 223,303,000
Current Debt 0
Non-Cash Working Capital (NCWC) -147,434,000
Change in NCWC 11,267,000
EBIT 32,452,000
Tax Provision 11,426,000
Depreciation and Amortization 45,652,000
Capital Expenditure -38,728,000
Unlevered Free Cash Flow 45,034,472
Current Assets 340,469,000
Current Cash 253,428,000
Current Liabilities 245,742,000
Current Debt 0
Non-Cash Working Capital (NCWC) -158,701,000
Change in NCWC -15,880,000
EBIT 26,349,000
Tax Provision 13,354,000
Depreciation and Amortization 35,490,000
Capital Expenditure -58,023,000
Unlevered Free Cash Flow -23,761,235
Current Assets 339,838,000
Current Cash 279,162,000
Current Liabilities 203,497,000
Current Debt 0
Non-Cash Working Capital (NCWC) -142,821,000
Change in NCWC -29,330,000
EBIT 45,786,000
Tax Provision 11,869,000
Depreciation and Amortization 19,946,000
Capital Expenditure -48,004,000
Unlevered Free Cash Flow -23,814,824
Current Assets 335,675,000
Current Cash 288,382,000
Current Liabilities 160,784,000
Current Debt 0
Non-Cash Working Capital (NCWC) -113,491,000
Change in NCWC -28,397,000
EBIT 41,018,000
Tax Provision 14,720,000
Depreciation and Amortization 14,841,000
Capital Expenditure -14,003,000
Unlevered Free Cash Flow -4,158,441
Current Assets 323,530,000
Current Cash 288,297,000
Current Liabilities 120,327,000
Current Debt 0
Non-Cash Working Capital (NCWC) -85,094,000
Change in NCWC -26,570,000
EBIT 38,643,000
Tax Provision 16,088,000
Depreciation and Amortization 7,917,000
Capital Expenditure -18,671,000
Unlevered Free Cash Flow -14,965,374
Current Assets 243,188,000
Current Cash 209,784,000
Current Liabilities 91,928,000
Current Debt 0
Non-Cash Working Capital (NCWC) -58,524,000
Change in NCWC -19,112,000
EBIT 43,323,000
Tax Provision 16,896,000
Depreciation and Amortization 3,870,000
Capital Expenditure -14,068,000
Unlevered Free Cash Flow -2,862,744

This analysis is provided for informational purposes only and does not constitute financial or investing advice. For more information on the advantages and limitations of DCF analysis see background. This information is provided on an "as is" basis. No warranty, expressed or implied, is made regarding accuracy, adequacy, completeness, legality, reliability or usefulness of any information. By using this site you agree that under no circumstances shall Valuation Tools LLC be held liable for any loss or damage caused by information obtained from this website including any articles, data, videos, its social media accounts, or any other materials.