H.B. Fuller Company (FUL) Nathan Winklepleck, CFA's Nathan's Discounted Free Cash Flow - Discounting Cash Flows
FUL
H.B. Fuller Company
FUL (NYSE)

Estimated Value

USD

Market Price USD

* Values are not guaranteed, please do your own
research before making investment decisions.

Nathan's Discounted Free Cash Flow Model

The Discounted Free Cash Flow (DCF) model calculates the value of a company by estimating its future Free Cash Flows to the Firm (FCFF) and discounting them to their present value. The value of a share is then derived by adjusting for net debt and dividing by the number of shares outstanding.

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Interactive Assumptions

Discount Rate

Discount Rate

Discount Rate = 10 Year Treasury Note Yield + 4%

Growth In Perpetuity

Growth in Perpetuity

The rate at which the company's free cash flow is assumed to grow indefinitely. By default, this rate equals the yield of the U.S. 10-Year Treasury Bond.

Historical Years

Historical Years

The number of years of historical data used to calculate averages and trends for analysis.

Projection Years

Projection Years

The number of years into the future for which the analysis projects financial performance and metrics.

Revenue Growth Rate

Revenue Growth Rate

The annual growth rate applied to projected revenue, starting from the second projection year onward.

Operating Cash Flow Margin

Operating Cash Flow Margin

Projected Operating Cash Flow = Projected Revenue * Operating Cash Flow Margin

This margin represents the percentage of revenue used to estimate future Operating Cash Flow.

Capital Expenditure Margin

Capital Expenditure Margin

Projected Free Cash Flow = Projected Operating Cash Flow - Projected Revenue * Capital Expenditure Margin

This margin is used to estimate future capital expenditures as a percentage of revenue, which in turn is subtracted from Operating Cash Flow to calculate Free Cash Flow.

Results

Terminal Value 8.41 Bil. USD
Discounted Terminal Value 3.75 Bil. USD
Sum of Discounted Free Cash Flow 1.77 Bil. USD
Enterprise Value 5.52 Bil. USD
Cash and Equivalents 96.78 Mil. USD
Total Debt 2.11 Bil. USD
Equity Value 3.5 Bil. USD
Shares Outstanding 54.44 Mil. USD
Estimated Value per Share 64.35 USD
Yield of the U.S. 10 Year Treasury Note 4.43%
Average Cash from Operating Activities Margin 8.57%
Average Capital Expenditure Margin -2.97%

Monetary values are in USD

Edit Chart Values 2025 2026 2027 2028 2029 2030 2031 2032 2033 2034

amounts of USD except for #

2025 2026 2027 2028 2029 2030 2031 2032 2033 2034
Revenue 3,760 3,958 4,163 4,373 4,590 4,812 5,041 5,275 5,514 5,758
Revenue Growth Rate 5.37% 5.27% 5.16% 5.06% 4.95% 4.85% 4.74% 4.64% 4.54% 4.43%
Operating Cash Flow 322.1 339 356.5 374.6 393.1 412.2 431.7 451.8 472.3 493.2
Operating Cash Flow Margin 8.57% 8.57% 8.57% 8.57% 8.57% 8.57% 8.57% 8.57% 8.57% 8.57%
Capital Expenditure -111.6 -117.5 -123.6 -129.8 -136.2 -142.8 -149.6 -156.5 -163.6 -170.9
Capital Expenditure Margin -2.97% -2.97% -2.97% -2.97% -2.97% -2.97% -2.97% -2.97% -2.97% -2.97%
Free Cash Flow 210.5 221.6 233 244.8 256.9 269.4 282.1 295.2 308.6 322.3
Free Cash Flow Margin 5.6% 5.6% 5.6% 5.6% 5.6% 5.6% 5.6% 5.6% 5.6% 5.6%
Compounded Discount Rate 3.08% 11.77% 21.2% 31.44% 42.52% 54.54% 67.57% 81.73% 97.05% 113.7%
Discounted Free Cash Flow 204.2 198.2 192.2 186.2 180.2 174.3 168.4 162.4 156.6 150.8

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 2,986 3,528 3,569 3,511 3,749 3,278 2,790 2,897 3,041 2,306 2,095 2,084
Revenue Growth Rate 5.37% -1.14% 1.65% -6.35% 14.37% 17.48% -3.68% -4.74% 31.87% 10.09% 0.525% -0.988%
Cost of Revenue 2,157 2,468 2,507 2,502 2,785 2,433 2,034 2,090 2,204 1,703 1,485 1,516
Gross Profit 828.7 1,054 1,062 1,009 963.7 845.3 756.6 806.9 836.9 603.2 609.8 568
Gross Margin 27.72% 29.88% 29.75% 28.74% 25.7% 25.79% 27.12% 27.85% 27.52% 26.16% 29.11% 27.26%
Operating Income 229.8 327.2 348.2 375.4 343.4 294.9 245.1 134.9 122.6 126.1 116.9 92.73
Operating Margin 7.35% 9.28% 9.76% 10.69% 9.16% 9% 8.79% 4.66% 4.03% 5.47% 5.58% 4.45%
Net Income 128.6 103.1 130.3 144.9 180.3 161.4 123.7 130.8 171.2 58.24 124.1 86.68
Net Margin 4.33% 2.92% 3.65% 4.13% 4.81% 4.92% 4.43% 4.52% 5.63% 2.53% 5.93% 4.16%
Cash from Operating Activities 253 231.2 302.4 378.4 256.5 213.3 331.6 269.2 253.3 140.8 195.7 210.5
Cash from Operating Activities Margin 8.56% 6.55% 8.48% 10.78% 6.84% 6.51% 11.88% 9.29% 8.33% 6.11% 9.34% 10.1%
Capital Expenditure -90.22 -113.6 -139.2 -119.1 -130 -96.09 -87.29 -61.98 -68.26 -54.93 -63.31 -58.62
Free Cash Flow 162.8 117.6 163.2 259.3 126.5 117.2 244.3 207.2 185 85.86 132.4 151.9
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