Answered step by step
Verified Expert Solution
Link Copied!

Question

00
1 Approved Answer

7. If the EV/EBITDA multiple of XYZ Firm is 15 and the EV/EBITDA multiple of your competitor firm is 10, what does that tell investors?

image text in transcribedimage text in transcribedimage text in transcribedimage text in transcribedimage text in transcribed

7. If the EV/EBITDA multiple of XYZ Firm is 15 and the EV/EBITDA multiple of your competitor firm is 10, what does that tell investors? 8. If XYZ company paid a dividend of $2.44 per share, and the cost of equity was 10% and the constant growth rate was 2%, how would you value this company? Based on the financials above, could this company afford to pay the dividend? 2019 46.840.00 14.112.00 32,728.00 10,615.00 9,872.00 0 Income Statement (all data in Millions) Year 2016 2017 Revenue 39,807.00 40,122.00 Cost of Goods Sold 14,030.00 12,912.00 Gross Profit 25,777.00 27,210.00 Selling, General, & Admin. Expense 10,017.00 10.074.00 Research & Development 10,261.00 10,339.00 Other Operating Expense 0 0 Total Operating Expense 20,278.00 20.413.00 Operating Income 5,499.00 6,797.00 Interest Income 328 385 Interest Expense -754 Net Interest Income -365 -369 Other Income (Expense) -475 93 Pre-Tax Income 4,659.00 6,521.00 Tax Provision -718 -4,103.00 Tax Rate % 15.41 62.92 Net Income (Continuing Operations) 3,941.00 2.418.00 Net Income (Discontinued Operations) 0 0 Other Income (Minority Interest) -21 -24 Net Income 3,920.00 2,394.00 2018 42,294.00 13,509.00 28,785.00 10,102.00 9,752.00 0 19.854.00 8,931.00 343 -772 -429 199 8,701.00 -2,508.00 28.82 6,193.00 0 20,487.00 12,241.00 274 -693 -893 -619 - 158 11,464.00 -1.687.00 14.72 9.777.00 0 27 66 6,220.00 9,843.00 Shares Outstanding 2,787.00 2,748.00 2,679.00 2,580.00 Balance Sheet (all data in Millions) Year 2016 2017 2018 2019 Cash And Cash Equivalents 6,515.00 6,092.00 7,965.00 9,676.00 Marketable Securities 7,826.00 2,406.00 899 774 Cash, Cash Equivalents, Marketable Securities 14,341.00 8,498.00 8,864.00 10,450.00 Accounts Receivable 7,018.00 6,873.00 7,071.00 6,778.00 Notes Receivable 0 0 0 0 Loans Receivable 0 0 0 0 Other Current Receivables 0 0 0 0 Total Receivables 7,018.00 6,873.00 7,071.00 6,778.00 Inventories, Raw Materials & Components 0 0 0 0 Inventories, Work In Process 0 0 0 0 Inventories, Inventories Adjustments 0 0 0 0 Inventories, Finished Goods 0 0 0 0 Inventories. Other 4,866.00 5,096.00 5.440.00 5.978.00 Total Inventories 4,866.00 5,096.00 5,440.00 5.978.00 Other Current Assets 4,389.00 4,299.00 4,500.00 4,277.00 Total Current Assets 30,614.00 24,766.00 25,875.00 27,483.00 Investments And Advances 11,416.00 12,125.00 6,233.00 1,469.00 Land And Improvements 412 365 333 343 Buildings And Improvements 11,439.00 11,726.00 11,486.00 11,989.00 Machinery, Furniture, Equipment 14,053.00 14,649.00 14.441.00 15,394.00 Construction In Progress 1,871.00 2,301.00 3,355.00 5,013.00 Other Gross PPE 0 0 0 0 Gross Property, Plant and Equipment 27,775.00 29,041.00 29,615.00 32,739.00 Accumulated Depreciation - 15,749.00 -16,602.00 -16,324.00 -17.686.00 Property, Plant and Equipment 12.026.00 12,439.00 13,291.00 15.053.00 Intangible Assets 35,467.00 32,467.00 31,357.00 33,621.00 Goodwill 18 162.00 18,284.00 18,253.00 19,425.00 Other Long Term Assets Total Long-Term Assets Total Assets Accounts Payable Total Tax Payable Other Current Payables Current Accrued Expense Accounts Payable & Accrued Expense Short-Term Debt Short-Term Capital Lease Obligation Short-Term Debt & Capital Lease Obligation Current Deferred Revenue Current Deferred Taxes Liabilities DeferredTaxAndRexenus Other Current Liabilities Total Current Liabilities Long-Term Debt Long-Term Capital Lease Obligation Long-Term Debt & Capital Lease Obligation Pension.AndRetirement Benefit NonCurrent Deferred Liabilities Other Long-Term Liabilities Total Long-Term Liabilities Total Liabilities Common Stock Preferred Stock Retained Earnings Accumulated other comprehensive income (loss) Additional Paid-In Capital Treasury Stock Other Stockholders Equity Total Stockholders Equity Minority Interest Total Equity 5,854.00 6,075.00 5,881.00 6,771.00 64,763.00 63,106.00 56,762.00 56,914.00 95,377.00 87,872.00 82,637.00 84,397.00 2.807.00 3,102.00 3,318.00 3,738.00 2,239.00 708 1,971.00 736 1.316.00 1,320.00 1,458.00 1,587.00 10.274.00 10,427.00 10,151.00 12,549.00 16,636.00 15,557.00 16,898.00 18,610.00 568 3,057.00 5,308.00 3,610.00 0 0 0 0 568 3,057.00 5,308,00 3,610.00 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 17,204.00 18,614.00 22.206.00 22,220.00 24,274.00 21,353.00 19,806.00 22,736.00 0 0 0 0 24,274.00 21,353.00 19,806.00 22,736.00 0 0 0 0 5,077.00 2,219.00 1.702.00 1,470.00 8,514.00 11,117.00 12,041.00 11,970.00 37,865.00 34,689.00 33,549.00 36,176.00 55,069.00 53,303.00 55,755.00 58,396.00 1,788.00 1.788.00 1.788.00 1.788.00 0 0 0 0 44,133.00 41.350.00 42,579.00 46,602.00 -5,226.00 -4,910.00 -5,545.00 -6.193.00 39.939.00 39,902.00 38,808.00 39,660.00 -40,546.00 -43,794.00 -50,929.00 -55,950.00 0 0 0 0 40,088.00 34,336.00 26,701.00 25,907.00 220 233 181 94 40.308.00 34,569.00 26,882.00 26.001.00 0 Statement of Cashflow (all data in Millions) Year 2016 2017 2018 2019 Net Income From Continuing Operations 3,941.00 2,418.00 6,193.00 9,777.00 Depreciation, Depletion and Amortization 5,471.00 4,676.00 4,519.00 3,652.00 Change In Receivables -619 297 -418 294 Change In Inventory 206 -145 -911 -508 Change In Prepaid Assets 0 0 0 0 Change In Payables And Accrued Expense -1.616.00 -3.959.00 716 -1,584.00 Change In Other Working Capital -572 -1,210.00 -940 -269 Change In Working Capital -2,601.00 -5,017.00 - 1,553.00 -2,067.00 Deferred Tax -1,521.00 -2,621.00 -509 -556 Stock Based Compensation 300 312 348 417 Asset Impairment Charge 3,948.00 646 296 1,040.00 Cash from Discontinued Operating Activities 0 0 0 Cash Flow from Others 838 6,037.00 1,628.00 1,177.00 Cash Flow from Operations 10,376.00 6,451.00 10,922.00 13,440.00 Purchase Of Property, Plant, Equipment -1.614.00 -1,888.00 -2.615.00 -3,473.00 Sale of Property, Plant, Equipment 0 0 0 0 Purchase of Business -780 -396 -431 4,954.00 Sale Of Business 0 0 Purchase of Investment -15,651.00 -10,739.00 -7.994.00 -3,202.00 Sale Of Investment 14,353.00 15,664.00 15,252.00 8,622.00 Net Intangibles Purchase And Sale 0 0 0 Cash From Discontinued Investing Activities 0 0 Cash From Other Investing Activities 482 38 102 378 Cash Flow from Investing -3,210.00 2,679.00 4,314.00 -2,629.00 Issuance of Stock 0 0 Repurchase of Stock -3,434.00 -4,014.00 -9,091.00 -4,780.00 Net Issuance of Preferred Stock 0 0 0 0 Net Issuance of Debt -1,307.00 -1,129.00 837 1,248.00 Cash Flow for Dividends -5,124.00 -5,167.00 -5,172.00 -5,695.00 Other Financing 821 304 266 366 Cash Flow from Financing -9,044.00 -10,006.00 -13,160.00 -8,861.00 0 0 0 0 0 0 0

Step by Step Solution

There are 3 Steps involved in it

Step: 1

blur-text-image

Get Instant Access with AI-Powered Solutions

See step-by-step solutions with expert insights and AI powered tools for academic success

Step: 2

blur-text-image

Step: 3

blur-text-image

Ace Your Homework with AI

Get the answers you need in no time with our AI-driven, step-by-step assistance

Get Started

Recommended Textbook for

Accounting for Decision Making and Control

Authors: Jerold Zimmerman

8th edition

978-0078025747

Students also viewed these Finance questions

Question

which of the following is person first language

Answered: 1 week ago