Financial statement analysis and common stock valuation
Financial Analyst
Stock Analysis on Net
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Target Corp. (NYSE:TGT)
Common-Size Balance Sheet: Liabilities and Stockholders’ Equity
Quarterly Data
Liabilities and stockholders’ equity components shown as percentage of total liabilities and stockholders’ equity.
Cash Flow Statement
The cash flow statement provides information about Target Corp. cash receipts and cash payments during an accounting period, showing how these cash flows link the ending cash balance to the beginning balance shown on Target Corp. balance sheet.
Present Value of Free Cash Flow to Equity (FCFE)
The FCFE valuation approach estimates the value of equity as the present value of future FCFE discounted at the required rate of return on equity.
Analysis of Short-term (Operating) Activity Ratios
Evaluates revenues and output generated by the Target Corp. assets. Operating performance ratios describe the relationship between the Target Corp. level of operations and the assets needed to sustain operating activities.
Long-term Trends
Common-Size Income Statement
Income statement components (revenues and expenses) shown as percentage of total sales.
Capital Asset Pricing Model (CAPM)
CAPM is a theory concentrated with deriving the expected rates of return on risky assets based on the assets’ systematic risk levels. Systematic risk is the variability of returns that is due to macroeconomic factors that affect all risky assets. It cannot be eliminated by diversification.
DuPont Analysis: Disaggregation of ROE, ROA, and Net Profit Margin
Quarterly Data
An approach to decomposing Target Corp. return on equity, return on assets, and net profit margin ratio as the product of other financial ratios.
Analysis of Liquidity Ratios
Quarterly Data
Measures the adequacy of a Target Corp. cash resources to meet its near-term cash obligations.
Cash Flow Statement
Quarterly Data
The cash flow statement provides information about Target Corp. cash receipts and cash payments during an accounting period, showing how these cash flows link the ending cash balance to the beginning balance shown on Target Corp. balance sheet.
Dividend Discount Model (DDM)
The dividend discount model (DDM) is a technique for estimating the value of a share of Target Corp. common stock issue as the present value of all future dividends.
Enterprise Value to FCFF (EV/FCFF)
Free cash flow to the firm is the cash flow available to the Target Corp. suppliers of capital after all operating expenses have been paid and necessary investments in working and fixed capital have been made.
DuPont Analysis: Disaggregation of ROE, ROA, and Net Profit Margin
An approach to decomposing Target Corp. return on equity, return on assets, and net profit margin ratio as the product of other financial ratios.
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