Teract S.A. (TRACT) Valuation & Financial Model
Interactive Discounted Cash Flow (DCF) model for Teract S.A. (PAR:TRACT), currently being evaluated. In 2025, Teract S.A. generated $895.20 Million in revenue and $82.90 Million in free cash flow. Explore projected intrinsic value assumptions based on institutional-grade macro metrics.
Valuation Methodology & Recent Performance
The financial model for Teract S.A. is calculated using an institutional discounted cash flow (DCF) engine utilizing recent operational metrics:
- Current Price: N/A
- Recent Revenue (2025): $895.20 Million
- Free Cash Flow (2025): $82.90 Million
- Discount Rate (WACC): Derived using the Risk-Free Rate (e.g., 10Y Gov Bond) plus an Equity Risk Premium based on market volatility and stock price variance.
- Terminal Value: Projected using a perpetual growth model bounded by long-term macroeconomic estimates.