Definitive Analysis
Definitive Analysis
Financial Statements
Periods / Units
Fundamentals
Valuations
Miscellaneous
Analysis Mode
Full Access
See Pricing Start Trial

Consun Pharmaceutical Group Limited (1681.HK)

Company Dividend Discount ModelIndustry: Drug Manufacturers - Specialty & GenericSector: Healthcare

Valuation Snapshot

Stable Growth$182.29 - $441.82$414.05
Multi-Stage$65.37 - $71.50$68.38
Blended Fair Value$241.21
Current Price$10.33
Upside2,235.08%
DecisionBuy

Dividend History & Growth Metrics (10Y)

Metric5Y CAGR10Y CAGR2024202320222021202020192018201720162015
DPS24.72%33.45%0.820.390.150.240.160.270.080.210.140.03
YoY Growth--108.60%155.90%-35.64%50.64%-41.70%227.15%-60.20%51.28%308.97%-26.32%
Dividend Yield--10.71%9.09%4.29%6.66%6.16%6.56%2.08%3.45%4.00%0.79%

Stable Growth Model (Adjusted)

(USD in Millions except Per Share Data)
Net Income To Common (M)1,845.40
(-) Cash Dividends Paid (M)1,031.94
(=) Cash Retained (M)813.45
MetricLOWBASEHIGH
Required Retention Ratio20.0%12.5%7.5%
(=) Cash Required (M)369.08230.67138.40
Cash Retained (M)813.45813.45813.45
(-) Cash Required (M)-369.08-230.67-138.40
(=) Excess Retained (M)444.37582.78675.05
(/) Shares Outstanding (M)830.67830.67830.67
(=) Excess Retained per Share0.530.700.81
LTM Dividend per Share1.241.241.24
(+) Excess Retained per Share0.530.700.81
(=) Adjusted Dividend1.781.942.05
WACC / Discount Rate6.53%6.53%6.53%
Growth Rate5.50%6.50%7.50%
Fair Value$182.29$414.05$441.82
Upside / Downside1,664.71%3,908.20%4,177.03%

Multi-Stage Model: Projections

(USD in Millions)
MetricTTMDec-27Dec-28Dec-29Dec-30Dec-31Terminal
Net Income (M)1,845.401,965.352,093.102,229.152,374.042,528.352,604.20
Payout Ratio55.92%62.74%69.55%76.37%83.18%90.00%92.50%
Projected Dividends (M)1,031.941,232.981,455.791,702.351,974.822,275.522,408.89

Multi-Stage Valuation

MetricLOWBASEHIGH
WACC / Discount Rate6.53%6.53%6.53%
Growth Rate5.50%6.50%7.50%
Year 1 PV (M)1,146.551,157.421,168.28
Year 2 PV (M)1,258.841,282.821,307.02
Year 3 PV (M)1,368.861,408.161,448.20
Year 4 PV (M)1,476.641,533.431,591.84
Year 5 PV (M)1,582.211,658.631,737.98
PV of Terminal Value (M)47,468.2049,760.9352,141.41
Equity Value (M)54,301.3156,801.3959,394.73
Shares Outstanding (M)830.67830.67830.67
Fair Value$65.37$68.38$71.50
Upside / Downside532.82%561.96%592.18%

High-Yield Dividend Screener

« Prev Page 14 of 30 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
UVSPUnivest Financial Corporation2.69%$0.8728.95%
VBTXVeritex Holdings, Inc.2.69%$0.8138.53%
CBTCabot Corporation2.68%$1.8029.00%
PKOHPark-Ohio Holdings Corp.2.68%$0.5633.19%
WINAWinmark Corporation2.68%$10.7696.24%
CHCOCity Holding Company2.67%$3.2036.27%
IDAIDACORP, Inc.2.67%$3.4058.98%
LFVNLifeVantage Corporation2.67%$0.1618.67%
MMM3M Company2.67%$4.3168.77%
MSEXMiddlesex Water Company2.67%$1.3456.69%
ONBOld National Bancorp2.67%$0.6035.48%
0HQU.LCF Industries Holdings, Inc.2.66%$2.0724.22%
MGYMagnolia Oil & Gas Corporation2.66%$0.6032.28%
PEBKPeoples Bancorp of North Carolina, Inc.2.66%$0.9530.99%
GSBCGreat Southern Bancorp, Inc.2.65%$1.6326.64%
HDThe Home Depot, Inc.2.65%$9.1562.39%
MVBFMVB Financial Corp.2.65%$0.6827.31%
PPGPPG Industries, Inc.2.65%$2.7662.85%
TWMIXAmerican Century Emerging Markets Investor Class2.64%$0.4076.80%
0M2A.LAdeia Inc.2.63%$0.3553.29%
ALLYAlly Financial Inc.2.63%$1.2059.56%
FRAFFranklin Financial Services Corporation2.63%$1.2836.88%
LEALear Corporation2.63%$3.1237.81%
VHIValhi, Inc.2.63%$0.3249.46%
FHIFederated Hermes, Inc.2.62%$1.3727.23%
MKCMcCormick & Company, Incorporated2.62%$1.7661.04%
SLBSLB N.V.2.62%$1.0542.94%
BAHBooz Allen Hamilton Holding Corporation2.61%$2.2233.15%
GILDGilead Sciences, Inc.2.61%$3.1849.10%
AWRAmerican States Water Company2.60%$1.8855.89%
CBANColony Bankcorp, Inc.2.59%$0.4628.75%
MDUMDU Resources Group, Inc.2.59%$0.5162.41%
PLBCPlumas Bancorp2.59%$1.1427.38%
CRD-ACrawford & Company2.58%$0.2843.18%
WBSWebster Financial Corporation2.57%$1.6429.21%
FANGDiamondback Energy, Inc.2.56%$3.9026.98%
JEFJefferies Financial Group Inc.2.56%$1.6349.77%
UNHUnitedHealth Group Incorporated2.56%$8.6044.61%
DOXAmdocs Limited2.55%$2.0439.68%
DVNDevon Energy Corporation2.55%$0.9622.55%
TGNATEGNA Inc.2.55%$0.4923.26%
CFFIC&F Financial Corporation2.54%$1.8022.24%
MTHMeritage Homes Corporation2.54%$1.6821.92%
DTMDT Midstream, Inc.2.52%$3.0477.42%
LEVILevi Strauss & Co.2.52%$0.5234.78%
NFGNational Fuel Gas Company2.52%$2.0736.34%
AMNBAmerican National Bankshares Inc.2.51%$1.2048.76%
HIMYXPioneer High Income Municipal Fund Class Y2.51%$0.1481.31%
ACNBACNB Corporation2.50%$1.1837.66%
FMBHFirst Mid Bancshares, Inc.2.50%$0.9626.52%