Definitive Analysis
Loading...
Definitive Analysis

Financial Statements

Ticker

Industry

Sector

TCL Electronics Holdings Limited (1070.HK)

Company Dividend Discount ModelIndustry: Consumer ElectronicsSector: Technology

Valuation Snapshot

Stable Growth$13.10 - $24.58$17.77
Multi-Stage$21.16 - $23.26$22.19
Blended Fair Value$19.98
Current Price$9.54
Upside109.42%
DecisionBuy

Dividend History & Growth Metrics (10Y)

Metric5Y CAGR10Y CAGR2024202320222021202020192018201720162015
DPS3.01%0.00%0.210.130.170.110.190.180.220.020.000.03
YoY Growth--65.87%-23.58%50.32%-41.58%4.19%-18.85%991.07%0.00%-100.00%0.00%
Dividend Yield--2.24%3.54%4.99%3.28%3.13%5.56%4.99%0.56%0.00%0.60%

Stable Growth Model (Adjusted)

(USD in Millions except Per Share Data)
Net Income To Common (M)2,199.87
(-) Cash Dividends Paid (M)403.35
(=) Cash Retained (M)1,796.52
MetricLOWBASEHIGH
Required Retention Ratio20.0%12.5%7.5%
(=) Cash Required (M)439.97274.98164.99
Cash Retained (M)1,796.521,796.521,796.52
(-) Cash Required (M)-439.97-274.98-164.99
(=) Excess Retained (M)1,356.541,521.531,631.53
(/) Shares Outstanding (M)2,521.562,521.562,521.56
(=) Excess Retained per Share0.540.600.65
LTM Dividend per Share0.160.160.16
(+) Excess Retained per Share0.540.600.65
(=) Adjusted Dividend0.700.760.81
WACC / Discount Rate6.39%6.39%6.39%
Growth Rate1.01%2.01%3.01%
Fair Value$13.10$17.77$24.58
Upside / Downside37.29%86.26%157.62%

Multi-Stage Model: Projections

(USD in Millions)
MetricTTMDec-27Dec-28Dec-29Dec-30Dec-31Terminal
Net Income (M)2,199.872,244.022,289.052,334.992,381.862,429.662,502.55
Payout Ratio18.34%32.67%47.00%61.33%75.67%90.00%92.50%
Projected Dividends (M)403.35733.081,075.881,432.151,802.282,186.692,314.86

Multi-Stage Valuation

MetricLOWBASEHIGH
WACC / Discount Rate6.39%6.39%6.39%
Growth Rate1.01%2.01%3.01%
Year 1 PV (M)682.30689.05695.81
Year 2 PV (M)931.99950.53969.26
Year 3 PV (M)1,154.671,189.311,224.63
Year 4 PV (M)1,352.441,406.791,462.78
Year 5 PV (M)1,527.241,604.351,684.54
PV of Terminal Value (M)47,702.0550,110.6052,615.46
Equity Value (M)53,350.6855,950.6358,652.48
Shares Outstanding (M)2,521.562,521.562,521.56
Fair Value$21.16$22.19$23.26
Upside / Downside121.78%132.59%143.82%

High-Yield Dividend Screener

« Prev Page 12 of 30 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
SOThe Southern Company3.09%$2.6967.01%
CFRCullen/Frost Bankers, Inc.3.08%$3.9439.68%
CMSCMS Energy Corporation3.08%$2.1762.27%
SJWSJW Group3.08%$1.6052.08%
SNVSynovus Financial Corp.3.08%$1.5427.05%
0HCT.LAlliant Energy Corporation3.07%$1.9962.84%
0M3L.LZions Bancorporation, National Association3.07%$1.7931.01%
IVZInvesco Ltd.3.07%$0.8335.83%
SWXSouthwest Gas Holdings, Inc.3.07%$2.4638.44%
PEGPublic Service Enterprise Group Incorporated3.06%$2.4859.65%
CASSCass Information Systems, Inc.3.05%$1.2452.58%
CIVBCivista Bancshares, Inc.3.05%$0.6725.26%
TXNTexas Instruments Incorporated3.05%$5.4198.14%
CTRECareTrust REIT, Inc.3.04%$1.1089.62%
UCBUnited Community Banks, Inc.3.04%$0.9536.76%
DRIDarden Restaurants, Inc.3.03%$5.6860.69%
HMNHorace Mann Educators Corporation3.02%$1.3634.55%
VGVenture Global, Inc.3.02%$0.2124.09%
HFBLHome Federal Bancorp, Inc. of Louisiana3.01%$0.5435.96%
TOWNTowneBank3.01%$1.0045.24%
GBCIGlacier Bancorp, Inc.3.00%$1.3464.06%
MBWMMercantile Bank Corporation3.00%$1.4327.14%
PPLPPL Corporation3.00%$1.0571.70%
DTSQDT Cloud Star Acquisition Corporation2.99%$0.3287.02%
EBMTEagle Bancorp Montana, Inc.2.99%$0.5833.76%
INDBIndependent Bank Corp.2.99%$2.1935.86%
ESSAESSA Bancorp, Inc.2.98%$0.6139.75%
RDNRadian Group Inc.2.98%$1.0725.60%
0K0X.LMetLife, Inc.2.96%$2.3641.08%
CUBBCustomers Bancorp, Inc 5.375% S2.96%$0.6612.54%
HBBHamilton Beach Brands Holding Company2.96%$0.4720.02%
SDSandRidge Energy, Inc.2.96%$0.4424.38%
STRWStrawberry Fields REIT LLC2.95%$0.3870.76%
INGRIngredion Incorporated2.94%$3.2332.02%
JWNNordstrom, Inc.2.94%$0.7342.03%
PKBKParke Bancorp, Inc.2.94%$0.7125.08%
0JW2.LM&T Bank Corporation2.93%$5.9133.38%
EIGEmployers Holdings, Inc.2.93%$1.2648.48%
MYEMyers Industries, Inc.2.93%$0.5573.41%
RMRegional Management Corp.2.93%$1.1528.16%
HSYThe Hershey Company2.92%$5.3379.75%
STZConstellation Brands, Inc.2.92%$4.1259.24%
AROCArchrock, Inc.2.91%$0.7751.05%
JXNJackson Financial Inc.2.91%$3.1338.19%
OSPNOneSpan Inc.2.91%$0.3623.87%
0LC6.LSysco Corporation2.90%$2.1055.57%
EXEExpand Energy Corporation2.89%$3.1787.89%
PGThe Procter & Gamble Company2.89%$4.0959.50%
RESRPC, Inc.2.89%$0.1672.96%
0M1R.LXcel Energy Inc.2.88%$2.1665.69%