Projected Income Statement: Charles River Laboratories International, Inc.

Forecast Balance Sheet: Charles River Laboratories International, Inc.

Fiscal Period: December 2021 2022 2023 2024 2025 2026 2027 2028
Net Debt 1 2,425 2,477 2,370 2,046 1,923 1,812 1,468 1,091
Change - 2.14% -4.32% -13.67% -6.01% -5.75% -18.98% -25.68%
Announcement Date 2/16/22 2/22/23 2/14/24 2/19/25 2/18/26 - - -
1USD in Million
Estimates

Cash Flow Forecast: Charles River Laboratories International, Inc.

Fiscal Period: December 2021 2022 2023 2024 2025 2026 2027 2028
CAPEX 1 228.8 324.7 318.5 233 219.2 216.1 214.7 216.5
Change - 41.95% -1.91% -26.86% -5.93% -1.41% -0.62% 0.81%
Free Cash Flow (FCF) 1 532 294.9 365.4 501.6 518.5 347.8 393.1 239.6
Change - -44.57% 23.89% 37.29% 3.37% -32.92% 13.01% -39.04%
Announcement Date 2/16/22 2/22/23 2/14/24 2/19/25 2/18/26 - - -
1USD in Million
Estimates

Forecast Financial Ratios: Charles River Laboratories International, Inc.

Fiscal Period: December 2021 2022 2023 2024 2025 2026 2027 2028

Profitability

        
EBITDA Margin (%) 24.84% 24.92% 24.54% 24.6% 24.19% 25.59% 26.65% 27.07%
EBIT Margin (%) 20.96% 20.97% 20.31% 19.9% 19.77% 21.1% 22.45% 23.07%
EBT Margin (%) 13.58% 15.67% 14.08% 2.3% -2.48% 10.36% 13.48% 14.41%
Net margin (%) 11.04% 12.23% 11.49% 0.25% -3.59% 7.4% 10.63% 10.94%
FCF margin (%) 15.03% 7.42% 8.85% 12.39% 12.91% 9.02% 10.02% 5.84%
FCF / Net Income (%) 136.07% 60.65% 76.98% 4,871.42% -359.22% 121.99% 94.21% 53.37%

Profitability

        
ROA 8.48% 7.8% 6.95% 6.78% 6.99% 6.49% 6.96% 7.12%
ROE 22.82% 20.71% 16.7% 15.1% 15.46% 16.91% 17.78% 17.13%

Financial Health

        
Leverage (Debt/EBITDA) 2.76x 2.5x 2.34x 2.05x 1.98x 1.84x 1.4x 0.98x
Debt / Free cash flow 4.56x 8.4x 6.49x 4.08x 3.71x 5.21x 3.73x 4.55x

Capital Intensity

        
CAPEX / Current Assets (%) 6.46% 8.17% 7.71% 5.75% 5.46% 5.61% 5.47% 5.27%
CAPEX / EBITDA (%) 26.01% 32.77% 31.43% 23.39% 22.56% 21.9% 20.53% 19.48%
CAPEX / FCF (%) 43% 110.11% 87.18% 46.44% 42.27% 62.12% 54.62% 90.34%

Items per share

        
Cash flow per share 1 15.13 12.08 13.29 14.23 14.81 10.75 12.41 12.97
Change - -20.15% 10.05% 7.04% 4.08% -27.41% 15.47% 4.46%
Dividend per Share 1 - - - - - - - -
Change - - - - - - - -
Book Value Per Share 1 50.4 58.42 70.06 67.69 64.3 68.46 75.27 82.99
Change - 15.92% 19.92% -3.39% -5% 6.46% 9.96% 10.25%
EPS 1 7.6 9.48 9.22 0.2 -2.91 6.135 9.2 10.07
Change - 24.74% -2.74% -97.83% -1,555% 310.82% 49.97% 9.44%
Nbr of stocks (in thousands) 50,464 50,879 51,297 51,136 49,215 48,168 48,168 48,168
Announcement Date 2/16/22 2/22/23 2/14/24 2/19/25 2/18/26 - - -
1USD
Estimates
2026 *2027 *
P/E Ratio 30.4x 20.2x
PBR 2.72x 2.47x
EV / Sales 2.8x 2.66x
Yield - -

EPS & Dividend

Y-o-Y evolution of P/E

Year-on-year evolution of the Yield

Trader
Investor
Global
Quality
ESG MSCI
AA
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
17
Last Close Price
186.29USD
Average target price
212.27USD
Spread / Average Target
+13.94%

Quarterly revenue - Rate of surprise

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