Discounted Cash Flow

Birks Group Inc. Foreign

BGI · Based on 10 years of SEC filings · Converted from CAD to USD

⚠ Cash flow predictability 30/100 (unstable) — FCF YoY std dev 74%, net income 78% (full history)

DCF estimate unavailable — only_4_profitable_out_of_10

Average annual growth rates

Metric 10-Year 5-Year 3-Year
Sales
Free Cash Flow
Average (FCF & NI)
Net Income
Dividends

Average annual growth is the mean year-over-year change across each period.

Endpoint CAGR (better for long term trend)

Metric 10-Year 5-Year 3-Year
Sales
Free Cash Flow
Average (FCF & NI)
Net Income

Endpoint CAGR is the compound annual rate from the first to last year in each period.

Projections use average year-over-year growth. Change this in Settings.

Projected growth rate

Free cash flow growth
10-year: — 5-year: — 3-year: —
Averaged growth (FCF & NI)
10-year: — 5-year: — 3-year: —
Net income growth
10-year: — 5-year: — 3-year: —
Sales growth (not added to calculations)
10-year: — 5-year: — 3-year: —

Click a greyed-out slider to switch metrics. Slide between the 10-year, 5-year, and 3-year historic growth rates for FCF, net income, or their average.

%
%

Historical inputs (10 fiscal years)

YEAR Sales Net Income Free Cash Flow Net Margin EPS (diluted)
2016 $207.6m $3.9m $-1.3m 1.9% $0.30
2017 $208.4m (0.4%) $3.6m (-9.4%) $1.6m (224.3%) 1.7% (-9.7%) $0.27 (-10.0%)
2018 $83.1m (-60.1%) $8.5m (137.4%) $-25.0m (-1660.6%) 10.2% (495.5%) $0.65 (140.7%)
2019 $109.7m (32.1%) $-13.6m (-259.7%) $-11.8m (52.6%) -12.4% (-220.9%) $-1.04 (-260.0%)
2020 $123.0m (12.2%) $-9.3m (31.6%) $-7.4m (37.5%) -7.5% (39.0%) $-0.71 (31.7%)
2021 $103.9m (-15.6%) $-4.2m (54.3%) $-3.4m (53.9%) -4.1% (45.9%) $-0.32 (54.9%)
2022 $131.7m (26.8%) $934.7k (122.0%) $10.2m (398.7%) 0.7% (117.4%) $0.07 (121.9%)
2023 $118.4m (-10.1%) $-5.4m (-677.5%) $-11.1m (-209.0%) -4.6% (-742.6%) $-0.40 (-671.4%)
2024 $134.6m (13.7%) $-3.4m (37.7%) $-4.7m (57.8%) -2.5% (45.2%) $-0.24 (40.0%)
2025 $129.1m (-4.0%) $-9.3m (-176.8%) $-6.5m (-38.2%) -7.2% (-188.4%) $-0.66 (-175.0%)

Base FCF: (latest fiscal year)

Discount rate: %

Terminal growth:

Projection period: years

Alt A decline yrs:

Alt B total yrs:

SEC filings report in CAD. Values above are converted to USD for comparison with the US-listed share price.

Projected cash flows

Year Projected cash flow Discount Factor Present Value

PV of projected FCF:

Terminal FCF:

Terminal value:

PV of terminal value:

Enterprise value (DCF):

DCF price per share:

Current price:

Alternative DCF Models

Model Fair Value Upside PV(FCFs) PV(Terminal) Total Years
Standard (10yr→TV) 10 + TV
Alt A (Gradual Decline)
Alt B (30yr Hard Stop) N/A

This is a simplified DCF model for illustration. It uses reported free cash flow, a single growth assumption, fixed WACC, and a Gordon Growth terminal value. It is not investment advice.

+ 10YR Financials Balance Sheet (10YR) Cash Flow (10YR) DCF Model

only_4_profitable_out_of_10

Once the company meets all DCF eligibility criteria (sufficient history, profitability, growth trends), an estimate will become available automatically. No action is needed.