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L'Oreal Valuation

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Submitted By marcinosiecki
Words 4949
Pages 20
Proposed acquisition of Molton Brown Company Limited
Analysis and Recommendations
&
Share Valuation of L’Oréal

1. Executive Summary

This report is prepared for the management of L’Oréal Company, the global leader in cosmetics and beauty products. The aim of the report is to analyse and propose recommendations to the board of L’Oréal directors in regards to their proposed acquisition of Molton Brown Ltd, a UK based manufacturer of upmarket cosmetic products. Molton Brown is fully owned by KAO Group, a Japanese manufacturer of personal care products.
In addition, the report analyses the current share price of L’Oréal based on current economic climate, their credit rating, corporate governance and other factors.
The analysis of financial statements of L’Oreal and its peers indicate that the business is well managed. Over the past three years the company has achieved a regular year on year increase of turnover and at the same time it managed to maintain its operating profit margin, which was the highest when benchmarked to its key competitors such as Unilever or Estee Lauder.
L’Oreal current ratio, used to assess the liquidity of the business, decreased versus prior year. This was mainly caused by the issue of commercial paper repayable within one year. This however should not be a concern to the management, as favourable terms with suppliers and customer means that the business can meet its current liabilities. The analysis of peers suggests that it is industry standard to have a negative working capital.
The analysis of Molton Brown shows that it is a profitable business which achieved an impressive 18% increase in turnover vs prior year. A high current ratio may indicate that Molton Brown is not using its financial resources very effectively and the management is not reinvesting available cash resources. The company is able to operate without

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