Blu Containers Worksheet - Intermediate
Blu Containers Worksheet - Intermediate
Blu Containers Worksheet - Intermediate
EBITDA
Margin
Growth
Net Income
Margin
Growth
EBITDA
Margin
Growth
Net Income
Margin
Growth
EBITDA
Margin
Growth
Net Income
Margin
Growth
Inputs and Assumptions
GENERAL EQUITY
DEPRECIATION TAXES
0
Inputs and Assumptions
OTHER ASSUMPTIONS 0 1 2 3 4
Income Statement
Cost Adjustments - Gain/(Loss) MM
Cash Flow Statement
Investing Activities - Other MM
Capital Expenditures MM
Income Tax
Reduction in EBT for timing differences MM
SCENARIO SWITCH: 0 1 2 3 4
ECONOMIC SCENARIOS
Cost Inflation
Base Case
Best Case
Worst Case
SALES SCENARIOS
Projected
-3A -2A -1A 0 1 2 3 4
Pricing
Gross Sales Price ($/unit) 694.4
Cost Inflation (%)
Freight & Warehousing ($/unit) 100.0
Net Sales Price ($/unit) 594.4
Sales Volume
Revenue
Net Revenue
0
Costs of Production Schedule
Projected
-3A -2A -1A 0 1 2 3 4
COSTS IN MILLIONS
Variable Costs
0
Income Statement
($ Millions)
Projected
-3A -2A -1A 0 1 2 3 4
Sales Volume (000's units) 0.0
Revenue
Gross Revenue 244.8 269.3 239.2
Freight & Warehousing 31.3 32.7 34.4
Net Revenue 213.5 236.6 204.8
Margins
EBITDA Margin 23.5% 28.9% 16.2%
EBIT Margin 16.3% 22.4% 8.4%
Return on Equity 0.9%
0
Cash Flow Statement
($ Millions)
Projected
-3A -2A -1A 0 1 2 3 4
Operating Activities
Net Income 14.1 23.7 2.2
Depreciation & Amortization 15.4 15.5 15.8
Deferred Income Taxes 2.7 6.2 1.1
Changes in working capital 0.0 0.0 0.0
Operating Cash Flow 32.2 45.4 19.1
Investing Activities
CAPEX (14.1) (15.0) (15.5)
Other (5.0) 4.0 3.0
Investing Cash Flow (19.1) (11.0) (12.5)
Financing Activities
Revolver Issuance / (Repayment) 0.0 0.0 0.0
Term Debt Issuance / (Repayment) (25.0) (25.0) (25.0)
Common Shares Issuance/ (Buy-Back) 0.0 0.0 0.0
Common Dividends (2.8) (4.7) (2.4)
Financing Cash Flow (27.8) (29.7) (27.4)
Change in the Cash Position (14.7) 4.7 (20.8)
Beginning Cash 31.1 16.4 21.1
Ending Cash 16.4 21.1 0.3
0
Balance Sheet
($ Millions)
Projected
-3A -2A -1A 0 1 2 3 4
ASSETS
Cash 16.4 21.1 0.3
Accounts Receivable 27.0 27.8 28.3
Inventory 36.5 36.1 35.1
Prepaid Expenses 14.6 14.4 14.9
Other 1.4 1.8 1.2
Total Current Assets 95.9 101.2 79.8
0
Depreciation Schedule
($ Millions)
Projected
-3A -2A -1A 0 1 2 3 4
CAPEX
Total Depreciation
0
Income Tax Schedule
($ Millions)
Projected
Tax Rate 0 1 2 3 4
(1) Assumes aggregate reduction in government pre-tax earnings due to timing differences between accounting and government rules.
0
Working Capital Schedule
($ Millions)
Projected
-3A -2A -1A 0 1 2 3 4
Days In
Account Balances
0
Debt and Interest Schedule
($ Millions)
Projected
-1A 0 1 2 3 4
FINANCING COMPONENT
Cash
Revolver
0
Shareholders' Equity Schedule
($ Millions)
Projected
-1A 0 1 2 3 4
Common Shares
Common Dividend
Retained Earnings