AFM Sample Model - 2 (Horizontal)
AFM Sample Model - 2 (Horizontal)
AFM Sample Model - 2 (Horizontal)
Henderson Manufacturing
August 14, 2018
Net Income 14.0 23.6 2.1 37.8 20.9 49.8 46.1 30.7
Margin (%) 6.6% 10.0% 1.0% 14.3% 8.5% 16.8% 15.3% 10.9%
Growth (%) - 68.9% (91.0%) 1,672.4% (44.7%) 138.5% (7.5%) (33.4%)
Credit Statistics
Net Debt / EBITDA 6.0x 2.0x 2.5x 1.0x 0.7x 0.5x
Interest Coverage (EBITDA / Interest) 2.4x 7.6x 6.0x 12.6x 14.7x 14.4x
Net Debt / Capitalization 43.6% 36.9% 32.0% 23.5% 15.3% 8.5%
GENERAL EQUITY
- First year of forecast in financial model: 2018 Stock Price - 08/13/18 $11.50
- Three scenarios have been used for Inflation, Product Pricing Fully Diluted Shares O/S (million) - Dec. 31, 2017 14.80
and Sales Volume growth Common Dividend Payout Rate 20.0%
OTHER ASSUMPTIONS 2015A 2016A 2017A 2018 2019 2020 2021 2022
($ Millions)
Days in Year 365.0 365.0 365.0 366.0 365.0 365.0
Income Statement
Cost Adjustments - Gain / (Loss) - - - - -
Capital Expenditure $14.1 $15.0 $15.5 $16.0 $17.0 $17.3 $17.5 $18.0
Income Tax
Reduction in EBT for timing differences $5.0 $5.0 $5.0 $5.0 $5.0
OTHER ASSUMPTIONS (cont'd) 2015A 2016A 2017A 2018 2019 2020 2021 2022
($ Millions)
Pricing
Gross Sales Price ($/unit) $750.0 $805.9 $694.4
Cost Inflation (%) 2.0% 2.1% 2.0%
Freight and Warehousing ($/unit) $96.0 $98.0 $100.0
Net Sales Price ($/unit) $654.0 $707.9 $594.4
Sales Volume
Annual Factory Capacity (000's units) 420.0 420.0 420.0 420.0 420.0 420.0 420.0 420.0
Sales Volume Growth (%) 2.0% 2.4% 3.1%
Annual Sales Volume (000's units) 326.4 334.2 344.5
Implied Operating Range 77.7% 79.6% 82.0%
Fixed Costs
Rent ($) $22.0 $22.0 $23.0 $23.5
Operating Labour ($) $41.0 $41.0 $41.0 $43.5
Other Fixed Costs ($) $2.0 $2.0 $3.0 $2.0
Total Fixed Costs ($) $65.0 $65.0 $67.0 $69.0
OTHER ASSUMPTIONS (cont'd) 2015A 2016A 2017A 2018 2019 2020 2021 2022
($ Millions)
ASSETS
Cash $0.3
Accounts Receivable $28.3
Inventory $35.1
Prepaid Expenses $14.9
Other Current Assets $1.2
Total Current Assets $79.8
ECONOMIC SCENARIOS
SALES SCENARIOS
Henderson Manufacturing
Revenue Schedule
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Pricing
Gross Sales Price ($/unit) $750.0 $805.9 $694.4 $832.0 $754.0 $858.0 $832.0 $780.0
Cost Inflation (%) 2.0% 2.1% 2.0% 1.8% 1.8% 1.8% 2.0% 2.0%
Freight and Warehousing ($/unit) $96.0 $98.0 $100.0 $101.8 $103.6 $105.5 $107.6 $109.8
Net Sales Price ($/unit) $654.0 $707.9 $594.4 $730.2 $650.4 $752.5 $724.4 $670.2
Sales Volume
Annual Factory Capacity (000's units) 420.0 420.0 420.0 420.0 420.0 420.0 420.0 420.0
Sales Volume Growth (%) 2.0% 2.4% 3.1% 5.0% 4.0% 5.0% 5.0% 4.0%
Annual Sales Volume (000's units) 326.4 334.2 344.5 361.7 376.2 395.0 414.8 420.0
Implied Operating Range 77.7% 79.6% 82.0% 86.1% 89.6% 94.0% 98.8% 100.0%
Revenue
Gross Revenue $244.8 $269.3 $239.2 $301.0 $283.7 $338.9 $345.1 $327.6
Less: Freight and Warehousing Cost ($31.3) ($32.8) ($34.5) ($36.8) ($39.0) ($41.7) ($44.6) ($46.1)
Net Revenue $213.5 $236.6 $204.8 $264.1 $244.7 $297.2 $300.4 $281.5
Henderson Manufacturing
Costs of Production
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Annual Sales Volume (000's units) 326.4 334.2 344.5 361.7 376.2 395.0 414.8 420.0
Cost Inflation (%) 1.8% 1.8% 1.8% 2.0% 2.0%
Variable Costs
Raw Materials ($/unit) $228.0 $234.2 $228.0 $226.0 $230.1 $234.2 $238.9 $243.7
Utilities ($/unit) $63.0 $64.0 $65.0 $66.2 $67.4 $68.6 $70.0 $71.4
Total Variable Costs ($/unit) $291.0 $298.2 $293.0 $292.2 $297.5 $302.8 $308.9 $315.0
Fixed Costs
Rent ($/unit) $67.4 $65.8 $66.8 $65.0 $63.6 $61.7 $59.9 $60.3
Operating Labour ($/unit) $125.6 $122.7 $119.0 $120.3 $117.7 $114.1 $110.9 $111.7
Other Fixed Costs ($/unit) $6.1 $6.0 $8.7 $5.5 $5.4 $5.2 $5.1 $5.1
Total Fixed Costs ($/unit) $199.1 $194.5 $194.5 $190.8 $186.7 $181.0 $175.9 $177.1
Total Costs per Unit $490.1 $492.7 $487.5 $483.0 $484.2 $483.8 $484.7 $492.2
TOTAL COSTS
Variable Costs
Raw Materials $74.4 $78.3 $78.5 $81.7 $86.6 $92.5 $99.1 $102.3
Utilities $20.6 $21.4 $22.4 $23.9 $25.4 $27.1 $29.0 $30.0
Total Variable Costs $95.0 $99.7 $100.9 $105.7 $111.9 $119.6 $128.1 $132.3
Fixed Costs
Rent ($) $22.0 $22.0 $23.0 $23.5 $23.9 $24.4 $24.8 $25.3
Operating Labour ($) $41.0 $41.0 $41.0 $43.5 $44.3 $45.1 $46.0 $46.9
Other Fixed Costs ($) $2.0 $2.0 $3.0 $2.0 $2.0 $2.1 $2.1 $2.2
Total Fixed Costs $65.0 $65.0 $67.0 $69.0 $70.2 $71.5 $72.9 $74.4
Total Costs of Sales $160.0 $164.7 $167.9 $174.7 $182.1 $191.1 $201.0 $206.7
Henderson Manufacturing
Income Statement
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Revenue
Gross Revenue $244.8 $269.3 $239.2 $301.0 $283.7 $338.9 $345.1 $327.6
Less: Freight and Warehousing Cost ($31.3) ($32.8) ($34.5) ($36.8) ($39.0) ($41.7) ($44.6) ($46.1)
Net Revenue $213.5 $236.6 $204.8 $264.1 $244.7 $297.2 $300.4 $281.5
Cost of Sales $160.0 $164.7 $167.9 $174.7 $182.1 $191.1 $201.0 $206.7
SG&A $3.4 $3.6 $3.8 $3.9 $4.0 $4.0 $4.1 $4.2
Total Costs $163.4 $168.3 $171.7 $178.6 $186.1 $195.2 $205.2 $210.9
Interest Expense $15.0 $15.0 $14.0 $11.2 $9.7 $8.1 $6.5 $4.9
EBT $19.7 $37.8 $3.2 $58.1 $32.1 $76.7 $70.9 $47.2
Current Income Taxes $3.0 $8.0 - $18.6 $9.5 $25.1 $23.1 $14.8
Deferred income Taxes $2.7 $6.2 $1.1 $1.8 $1.8 $1.8 $1.8 $1.8
Total Income Taxes $5.7 $14.2 $1.1 $20.3 $11.3 $26.8 $24.8 $16.5
Net Income $14.0 $23.6 $2.1 $37.8 $20.9 $49.8 $46.1 $30.7
Margins
EBITDA Margin 23.5% 28.9% 16.1% 32.4% 23.9% 34.3% 31.7% 25.1%
EBIT Margin 16.2% 22.3% 8.4% 26.3% 17.1% 28.5% 25.8% 18.5%
Net Income Margin 6.6% 10.0% 1.0% 14.3% 8.5% 16.8% 15.3% 10.9%
Return on Equity - 9.1% 0.8% 13.1% 6.8% 14.4% 12.1% 7.5%
Henderson Manufacturing
Cash Flow Statement
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Operating Activities
Net Income $14.0 $23.6 $2.1 $37.8 $20.9 $49.8 $46.1 $30.7
Depreciation and Amortization $15.4 $15.5 $15.8 $16.2 $16.7 $17.3 $17.9 $18.5
Deferred Income Taxes $2.7 $6.2 $1.1 $1.8 $1.8 $1.8 $1.8 $1.8
Changes in Working Capital - - - ($1.4) $7.2 ($4.2) ($1.7) $4.2
Operating Cash Flow $32.1 $45.3 $19.0 $54.3 $46.5 $64.7 $64.0 $55.1
Investing Activities
Capital Expenditure ($14.1) ($15.0) ($15.5) ($16.0) ($17.0) ($17.3) ($17.5) ($18.0)
Investing Activities - Other ($5.0) $4.0 $3.0 - - - - -
Investing Cash Flow ($19.1) ($11.0) ($12.5) ($16.0) ($17.0) ($17.3) ($17.5) ($18.0)
Financing Activities
Revolver Issuance / (Repayment) - - - - -
Term Debt Issuance / (Repayment) ($25.0) ($25.0) ($25.0) ($25.0) ($25.0)
Common Shres Issuance / (Buy-back) - - - - -
Common Dividends ($7.6) ($4.2) ($10.0) ($9.2) ($6.1)
Financial Cash Flows ($32.6) ($29.2) ($35.0) ($34.2) ($31.1)
Henderson Manufacturing
Balance Sheet
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
ASSETS
Cash $0.3 $6.0 $6.4 $18.8 $31.1 $37.1
Accounts Receivable $28.3 $32.6 $26.8 $32.5 $32.9 $30.8
Inventory $35.1 $33.5 $32.4 $31.3 $33.0 $31.1
Prepaid Expenses $14.9 $14.4 $15.0 $15.7 $16.5 $17.0
Other Current Assets $1.2 $1.4 $1.5 $1.6 $1.7 $1.7
Total Current Assets $79.8 $87.9 $82.1 $99.9 $115.3 $117.8
Total Liabilities & Equity $489.5 $497.4 $491.9 $509.7 $524.7 $526.8
Interest Paste Value check 0.000 0.000 0.000 0.000 0.000 0.000
Balance Sheet Check 0.000 0.000 0.000 0.000 0.000 0.000
Total Check 0.000 0.000 0.000 0.000 0.000 0.000 0.000
Henderson Manufacturing
Depreciation Schedule
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Depreciation to Existing Assets $15.4 $15.5 $15.8 $15.9 $15.9 $15.9 $15.9 $15.9
CAPEX
2018 16.0 - - - $0.3 $0.5 $0.5 $0.5 $0.5
2019 17.0 - - - - $0.3 $0.6 $0.6 $0.6
2020 17.3 - - - - - $0.3 $0.6 $0.6
2021 17.5 - - - - - - $0.3 $0.6
2022 18.0 - - - - - - - $0.3
Total Depreciation $15.4 $15.5 $15.8 $16.2 $16.7 $17.3 $17.9 $18.5
Henderson Manufacturing
Income Tax Schedule
($ Millions)
Projected
2018 2019 2020 2021 2022
(1) Assumes aggregate reduction in government pre-tax earnings due to timing differences between accounting and government rules.
Henderson Manufacturing
Working Capital Schedule
($ Millions)
Projected
2015A 2016A 2017A 2018 2019 2020 2021 2022
Days In
Accounts Receivable (days) 45.0 40.0 40.0 40.0 40.0
Inventories (days) 70.0 65.0 60.0 60.0 55.0
Prepaid Expenses (days) 30.0 30.0 30.0 30.0 30.0
Other Assets (days) 3.0 3.0 3.0 3.0 3.0
Accounts Payable (days) 40.0 40.0 40.0 40.0 40.0
Other Liabilities (days) 10.0 10.0 10.0 10.0 10.0
Account Balances
Accounts Receivable $28.3 $32.6 $26.8 $32.5 $32.9 $30.8
Inventory $35.1 $33.5 $32.4 $31.3 $33.0 $31.1
Prepaid Expenses $14.9 $14.4 $15.0 $15.7 $16.5 $17.0
Other Current Assets $1.2 $1.4 $1.5 $1.6 $1.7 $1.7
Accounts Payable $18.2 $19.1 $20.0 $20.9 $22.0 $22.7
Other Liabilities $4.8 $4.8 $5.0 $5.2 $5.5 $5.7
Net Working Capital $56.5 $57.9 $50.8 $54.9 $56.6 $52.4
Henderson Manufacturing
Debt and Interest Schedule
($ Millions)
Projected
2017A 2018 2019 2020 2021 2022
Cash
Amount Outstanding - Beginning $0.3 $6.0 $6.4 $18.8 $31.1
Change in Cash $5.7 $0.3 $12.4 $12.3 $6.0
Amount Outstanding - Ending $0.3 $6.0 $6.4 $18.8 $31.1 $37.1
Interest Rate 1.0% 1.0% 1.0% 1.0% 1.0% 1.0%
Annual Interest Income - calculation (COPY) $0.0 $0.1 $0.1 $0.2 $0.3
Annual Interest Income - (PASTE VALUES) $0.0 $0.1 $0.1 $0.2 $0.3
Copy Paste Check - 0.000 0.000 0.000 0.000 0.000
Revolver
Operating Cash Flow $54.3 $46.5 $64.7 $64.0 $55.1
Investing cash Flow ($16.0) ($17.0) ($17.3) ($17.5) ($18.0)
Mandatory Debt Repayments ($25.0) ($25.0) ($25.0) ($25.0) ($25.0)
Common Stock Issuances / (Buy-back) - - - - -
Dividends ($7.6) ($4.2) ($10.0) ($9.2) ($6.1)
FCF After Mandatory Debt Repayment and Dividend $5.7 $0.3 $12.4 $12.3 $6.0
Revolver Outstanding - Beginning - - - - -
Additions / (Repayments) - - - - -
Revolver Outstanding - Ending - - - - - -
Interest Rate 6.0% 6.0% 6.0% 6.0% 6.0% 6.0%
Annual Revolver Interest Expense - calculation (COPY) - - - - -
Annual Revolver Interest Expense - (PASTE VALUES) - - - - -
Copy Paste Check - 0.000 0.000 0.000 0.000 0.000
Henderson Manufacturing
Shareholders' Equity Schedule
($ Millions)
Projected
2017A 2018 2019 2020 2021 2022
Common Shares
Amount Outstanding - Beginning $120.0 $120.0 $120.0 $120.0 $120.0
New Issuance / (Buy-back) - - - - -
Amount Outstanding - Ending $120.0 $120.0 $120.0 $120.0 $120.0 $120.0
Retained Earnings
Amount Outstanding - Beginning $138.5 $168.7 $185.4 $225.3 $262.2
Net Income $37.8 $20.9 $49.8 $46.1 $30.7
Common Dividend ($7.6) ($4.2) ($10.0) ($9.2) ($6.1)
Amount Outstanding - Ending $138.5 $168.7 $185.4 $225.3 $262.2 $286.7
Henderson Manufacturing
Covenants
($ Millions)
Projected
2017A 2018 2019 2020 2021 2022
Consolidated Ratios
Net Debt / EBITDA Covenant < 4.5x 6.0x 2.0x 2.5x 1.0x 0.7x 0.5x
EBITDA Cushion (11.3) 48.0 26.6 78.5 80.0 62.2
Interest Coverage (EBITDA / Interest) Covenant > 1.5x 2.4x 7.6x 6.0x 12.6x 14.7x 14.4x
EBITDA Cushion 12.0 68.7 44.0 89.9 85.5 63.2
Net Debt / Capitalization Covenant < 40.0% 32.0% 36.9% 32.0% 23.5% 15.3% 8.5%