Saracen Mineral Share Price
SAR $0.725
Key Market Information
Share Price $0.725
Market Capitalisation - ordinary A$575m
Net Debt (cash) -$42m
Market Capitalisation - fully diluted A$575m
EV A$533m
Issued Capital 792.8m
Options 0.0
Issued Capital (fully diluted inc. all options) 792.8m
Issued Capital (fully diluted inc. all options and new capital) 792.8m
Valuation $0.84
12month price target $0.88
P&L Unit 30 Jun 15 30 Jun 16 30 Jun 17 30 Jun 18
Net Revenue A$m 249.9 308.1 536.3 564.3
Total Costs A$m -182.9 -239.8 -370.7 -382.3
EBITDA A$m 67.0 68.3 165.6 181.9
- margin 27% 22% 31% 32%
Depreciation/Amort A$m -49.5 -52.3 -84.8 -82.5
EBIT A$m 17.5 16.0 80.8 99.4
Net Interest A$m -1.0 2.6 -0.6 -0.1
Pre-Tax Profit A$m 16.4 18.7 80.2 99.3
Tax Expense A$m -5.0 0.0 -10.5 -28.3
Normalised NPAT A$m 11.3 24.3 83.1 72.5
Abnormal Items A$m 0.1 -10.6 -18.5 -6.5
Reported Profit A$m 11.4 13.7 64.6 66.0
Minority A$m 0.0 0.0 0.0 0.0
Profit Attrib A$m 11.4 13.7 64.6 66.0
Balance Sheet Unit 30 Jun 15 30 Jun 16 30 Jun 17 30 Jun 18
Cash A$m 38.4 42.4 141.9 257.2
Other Current Assets A$m 71.3 52.5 78.4 80.9
Total Current Assets A$m 109.6 94.9 220.2 338.2
Property, Plant & Equip. A$m 145.9 177.6 124.7 62.2
Exploration A$m 38.4 46.4 54.4 66.4
Investments/other A$m 6.4 6.4 6.4 6.4
Tot Non-Curr. Assets A$m 190.7 230.4 185.5 135.0
Total Assets A$m 300.3 325.3 405.8 473.2
Short Term Borrowings A$m 0.8 0.8 0.8 0.8
Other A$m 22.7 34.0 49.9 51.3
Total Curr. Liabilities A$m 23.5 34.8 50.7 52.1
Long Term Borrowings A$m 0.6 0.6 0.6 0.6
Other A$m 47.0 47.0 47.0 47.0
Total Non-Curr. Liabil. A$m 47.5 47.5 47.5 47.5
Total Liabilities A$m 71.1 82.4 98.3 99.7
Net Assets A$m 229.2 242.9 307.5 373.5
Net Debt A$m -37.0 -41.1 -140.5 -255.9
Cashflow Unit 30 Jun 15 30 Jun 16 30 Jun 17 30 Jun 18
Operating Cashflow A$m 70.6 98.4 155.6 180.8
Income Tax Paid A$m -5.0 0.0 -10.5 -28.3
Interest & Other A$m -0.2 2.6 -0.6 -0.1
Operating Activities A$m 65.4 101.1 144.4 152.4
Property, Plant & Equip. A$m -35.9 -84.0 -32.0 -20.0
Exploration and Devel. A$m -11.1 -13.0 -13.0 -17.0
Other A$m -2.2 0.0 0.0 0.0
Investment Activities A$m -49.2 -97.0 -45.0 -37.0
Borrowings A$m -12.0 0.0 0.0 0.0
Equity or "tbc capital" A$m 0.0 0.0 0.0 0.0
Dividends Paid A$m 0.0 0.0 0.0 0.0
Financing Activities A$m -13.6 0.0 0.0 0.0
Net Cashflow A$m 2.5 4.1 99.4 115.4
Shares Unit 30 Jun 15 30 Jun 16 30 Jun 17 30 Jun 18
Ordinary Shares - End m 792.8 792.8 792.8 792.8
Ordinary Shares - Weighted m 792.8 792.8 792.8 792.8
Diluted Shares - Weighted m 792.8 792.8 792.8 792.8
Ratio Analysis Unit 30 Jun 15 30 Jun 16 30 Jun 17 30 Jun 18
Cashflow Per Share A$ cps 8.2 12.7 18.2 19.2
Cashflow Multiple x 8.8 5.7 4.0 3.8
Earnings Per Share A$ cps 1.4 1.7 8.1 8.3
Price to Earnings Ratio x 50.5 42.0 8.9 8.7
Dividends Per Share AUD - - - - Dividend Yield % 0.0% 0.0% 0.0% 0.0%
Net Debt / Net Debt + Equity % -19% -20% -84% -218%
Interest Cover X 16.8 na 125.3 776.6
Return on Equity % 5% 10% 27% 19%
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15 January 2016
Buy
Directors Company Information
Geoffrey Clifford (Chairman) Level 4, 89 St Georges Tce Raleigh Finlayson (MD) Perth, WA, 6001
Barrie Parker (Non-Exec Director) +61 8 6229 9100
Martin Reed (Non-Exec Director) +61 8 6229 9199
Samantha Tough (Non-Exec Director)
Mark Connelly (Non-Exec Director) www.saracen.com.au
Top Shareholders m shares %
Wroxby 63.5 8.2
Paradice Investment Management Pty Ltd 62.9 7.9
Karara Capital Pty Ltd 49.1 6.2
Van Eck Associates 40.3 5.1
Reserves & Resources Mt g/t Au Moz TOTAL RESOURCE 141 1.7 7.6
Measured 9 1.1 0.3
Indicated 92 1.8 5.2
Inferred 39 1.7 2.1
Reserve 25 1.8 1.5
Production Summary (CDO) Unit Jun 15 Jun 16 Jun 17 Jun 18
Mill Throughput Mt 2.4 2.4 2.3 2.3
Head Grade g/t 2.48 2.44 2.80 2.93
Combined Recovery & Payability % 90.5% 90.0% 90.0% 90.0%
Gold (koz) 167.5 160.6 180.6 188.4
M&I Resource Conversion % 24.4% 24.4% 24.7% 27.9%
Mine Life yr 8.25 7.25 6.25 5.25
C1 cash costs A$/oz 878 892 966 964
All in sustaining costs (AISC) A$/oz 1,139 1,117 1,188 1,138
Production Summary (Thunderbox) Unit Jun 15 Jun 16 Jun 17 Jun 18
Mill Throughput Mt 0.0 0.5 2.4 2.5
Strip Ratio x 0.0 8.0 8.0 7.0
Mined grade g/t - 1.80 1.91 1.95
Combined Recovery & Payability % - 92.0% 92.0% 92.0%
Gold (koz) 0.0 26.6 133.9 144.2
M&I Resource Conversion % - 19.8% 20.1% 20.1%
Mine Life yr 8.00 8.00 7.00 6.00
C1 cash costs A$/oz - 1,042 1,014 926
All in sustaining costs (AISC) A$/oz - 1,019 1,274 1,179
Group Gold (koz) 168 187 314 333
All in sustaining costs (AISC) A$/oz 1,139 1,103 1,225 1,156
Costs Unit Jun 15 Jun 16 Jun 17 Jun 18
Cost per milled tonne A$/t 76.2 84.1 79.3 79.7
EBITDA / tonne milled ore A$/t 27.9 24.0 35.4 37.9
Total cash costs A$/oz 1,092 1,281 1,179 1,149
C1: Operating Cash Cost = (a) A$/oz 729 914 986 947
(a) + Royalty = (b) A$/oz 767 971 1,055 1,015
C2: (a) + depreciation & amortisation = (c) A$/oz 1,024 1,193 1,256 1,195
(a) + actual cash for development = (d) A$/oz 1,023 1,432 1,129 1,059
C3: (c) + Royalty A$/oz 1,063 1,250 1,324 1,264
(d) + Royalty A$/oz 1,061 1,489 1,198 1,127
Price Assumptions Unit Jun 15 Jun 16 Jun 17 Jun 18
AUDUSD A$/US$ 0.81 0.69 0.69 0.73
Gold US$/oz 1262 1124 1183 1242
Gold A$/oz 1551 1620 1704 1697
Hedging Jun 15 Jun 16 Jun 17 Jun 18
Hedges maturing? Yes Yes Yes Yes
Sensitivity Analysis
Valuation FY16 NPAT
Base Case 0.67 13.7
Spot Prices 0.76 (13.4%) -0.2 (-101.6%)
Spot USD/AUD 0.70, Gold $1078/oz.
AUDUSD +/--10% 0.49 / 0.92 (-27.7% / 36.6%) -3.7 / 40.2 (-127.0% / 194.1%)
Gold +/--10% 0.90 / 0.47 (32.9% / -30.4%) 37.0 / -5.0 (170.7% / -136.4%)
Production +/--10% 0.90 / 0.44 (33.8% / -34.1%) 38.4 / -19.3 (180.8% / -240.7%)
Operating Costs +/--10% 0.53 / 0.82 (-21.6% / 21.6%) -7.5 / 26.7 (-154.9% / 95.1%)
Share Price Valuation (NAV) Risked Est. A$m Est. A$/share
100% Thunderbox (pre-tax NAV at disc. rate of 12%) 259 0.33
100% CDO - Southern (pre-tax NAV at disc. rate of 8%) 234 0.30
100% CDO - Northern (pre-tax NAV at disc. rate of 8%) 147 0.19
100% CDO - Pits (pre-tax NAV at disc. rate of 8%) 92 0.12
100% CDO - Stockpile (pre-tax NAV at disc. rate of 8%) 30 0.04
Other Exploration 50 0.06
Forwards 0 0.00
Corporate Overheads -65 -0.08
Net Cash (Debt) 42 0.05
Tax (NPV future liability) -125 -0.16
Options & Other Equity 0 0.00
Hedges 2 0.00
Total 666 0.84
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