Definitive Analysis
Definitive Analysis

Financial Statements

Ticker

Industry

Sector

Home Product Center Public Company Limited (HMPRO-R.BK)

Company Dividend Discount ModelIndustry: Home ImprovementSector: Consumer Cyclical

Valuation Snapshot

Stable Growth$6.19 - $10.83$8.17
Multi-Stage$10.75 - $11.78$11.25
Blended Fair Value$9.71
Current Price$7.45
Upside30.37%
DecisionDon't Buy

Dividend History & Growth Metrics (10Y)

Metric5Y CAGR10Y CAGR2024202320222021202020192018201720162015
DPS1.57%32.96%0.410.390.370.320.310.370.330.280.270.17
YoY Growth--2.56%5.40%15.64%3.25%-16.25%12.17%17.80%3.76%59.99%628.11%
Dividend Yield--4.71%3.73%2.60%2.04%2.12%3.38%2.20%2.00%2.83%2.07%

Stable Growth Model (Adjusted)

(USD in Millions except Per Share Data)
Net Income To Common (M)6,136.51
(-) Cash Dividends Paid (M)5,362.98
(=) Cash Retained (M)773.53
MetricLOWBASEHIGH
Required Retention Ratio20.0%12.5%7.5%
(=) Cash Required (M)1,227.30767.06460.24
Cash Retained (M)773.53773.53773.53
(-) Cash Required (M)-1,227.30-767.06-460.24
(=) Excess Retained (M)-453.776.46313.29
(/) Shares Outstanding (M)12,984.4412,984.4412,984.44
(=) Excess Retained per Share-0.030.000.02
LTM Dividend per Share0.410.410.41
(+) Excess Retained per Share-0.030.000.02
(=) Adjusted Dividend0.380.410.44
WACC / Discount Rate6.73%6.73%6.73%
Growth Rate0.59%1.59%2.59%
Fair Value$6.19$8.17$10.83
Upside / Downside-16.87%9.69%45.38%

Multi-Stage Model: Projections

(USD in Millions)
MetricTTMDec-27Dec-28Dec-29Dec-30Dec-31Terminal
Net Income (M)6,136.516,233.906,332.836,433.336,535.436,639.146,838.32
Payout Ratio87.39%87.92%88.44%88.96%89.48%90.00%92.50%
Projected Dividends (M)5,362.985,480.585,600.555,722.955,847.835,975.236,325.44

Multi-Stage Valuation

MetricLOWBASEHIGH
WACC / Discount Rate6.73%6.73%6.73%
Growth Rate0.59%1.59%2.59%
Year 1 PV (M)5,084.555,135.105,185.65
Year 2 PV (M)4,820.414,916.735,014.01
Year 3 PV (M)4,569.834,707.484,847.88
Year 4 PV (M)4,332.134,506.994,687.09
Year 5 PV (M)4,106.654,314.884,531.48
PV of Terminal Value (M)116,623.04122,536.58128,687.61
Equity Value (M)139,536.60146,117.76152,953.70
Shares Outstanding (M)12,984.4412,984.4412,984.44
Fair Value$10.75$11.25$11.78
Upside / Downside44.25%51.05%58.12%

High-Yield Dividend Screener

« Prev Page 20 of 151 Next »
Ticker Company Dividend Yield % Dividend Per Share Payout Ratio %
PZU.WAPowszechny Zaklad Ubezpieczen S.A.6.34%$4.3461.18%
TIMS3.SATIM S.A.6.34%$1.3782.19%
5027.KLKim Loong Resources Berhad6.33%$0.1590.58%
600177.SSYoungor Group Co.,Ltd6.33%$0.4885.43%
MQG.AXMacquarie Group Limited6.33%$12.8967.45%
1286.HKImpro Precision Industries Limited6.32%$0.3247.46%
2199.HKRegina Miracle International (Holdings) Limited6.32%$0.1551.30%
4331.SRAljazira Mawten REIT Fund6.32%$0.7471.72%
8284.TWOMitake Information Corporation6.32%$3.9988.71%
B7E.DEBlue Cap AG6.32%$1.0945.09%
SHAF.SWSchaeffler AG6.32%$0.4699.67%
2069.TWYuen Chang Stainless Steel Co., Ltd.6.31%$1.1672.53%
603369.SSJiangsu King's Luck Brewery Joint-Stock Co., Ltd.6.31%$2.2095.23%
035600.KQKginicis Co.,Ltd6.30%$640.7433.42%
3859.KLMagnum Berhad6.30%$0.0963.20%
600582.SSTiandi Science & Technology Co.Ltd6.29%$0.3754.45%
6281.TWE-Life Corporation6.29%$3.9796.34%
8953.TJapan Metropolitan Fund Investment Corporation6.29%$7,808.7582.66%
KYE.BKKang Yong Electric Public Company Limited6.29%$17.8046.83%
3130.TW104 Corporation6.28%$14.0798.54%
601658.SSPostal Savings Bank of China Co., Ltd.6.28%$0.3446.63%
005257.KSGreen Cross Holdings Corporation6.27%$1,649.8533.43%
4138.TWODynamic Medical Technologies Inc.6.27%$3.7785.97%
4383.KLJaya Tiasa Holdings Berhad6.27%$0.0740.20%
AH-R.BKAAPICO Hitech Public Company Limited6.27%$0.7935.60%
1093.HKCSPC Pharmaceutical Group Limited6.26%$0.5359.84%
1397.HKBaguio Green Group Limited6.26%$0.0721.64%
005440.KSHyundai Green Food Co.,Ltd.6.25%$501.5314.65%
0506.HKChina Foods Limited6.25%$0.2744.98%
0RFX.LBell Food Group AG6.25%$14.0034.79%
1345.HKShanghai Pioneer Holding Ltd6.25%$0.1461.06%
M-PAT.BKMFC Patong Heritage Property Fund6.25%$0.1267.74%
PRV-UN.TOPro Real Estate Investment Trust6.25%$0.4177.89%
2006.TWTung Ho Steel Enterprise Corporation6.24%$3.9966.06%
600867.SSTonghua Dongbao Pharmaceutical Co., Ltd.6.24%$0.5180.83%
CEKA.JKPT Wilmar Cahaya Indonesia Tbk.6.22%$149.7933.39%
TSFA.FTaiwan Semiconductor Manufacturing Company Limited6.22%$17.0027.78%
002061.SZZhejiang Communications Technology Co., Ltd.6.21%$0.2555.66%
003410.KSSsangYong C&E Co., Ltd.6.21%$434.4384.58%
6170.TWOWelldone Company6.21%$3.0864.20%
7480.TSuzuden Corporation6.21%$104.5987.83%
HMPRO-R.BKHome Product Center Public Company Limited6.21%$0.4187.39%
IPCC.JKPT Indonesia Kendaraan Terminal Tbk6.21%$86.9664.44%
4532.TWRechi Precision Co., Ltd.6.20%$1.5172.65%
OPM.PAOPmobility6.20%$1.0244.93%
BCVN.SWBanque Cantonale Vaudoise6.19%$6.2168.66%
MF.PAWendel6.19%$5.0581.14%
OVS.MIOVS S.p.A.6.19%$0.3079.04%
A5G.IRAIB Group plc6.18%$0.5848.87%
BEK-B.TOThe Becker Milk Company Limited6.18%$0.8047.42%