The CFROI (Cash Flow Return on Investment) Holt Excel Template is a powerful financial tool designed for investment analysts, corporate finance professionals, and business strategists. Based on the Holt CFROI valuation model, this template helps evaluate a company’s economic profitability, investment returns, and value creation over time. With built-in formulas and structured financial inputs, it enables users to assess business performance and make data-driven investment decisions.
Key Features
✅ CFROI Calculation Framework – Accurately measures a company’s cash flow return on investment.
✅ Built-in Financial Metrics – Includes depreciation, asset base adjustments, and economic returns.
✅ Dynamic Data Input & Analysis – Customize key financial inputs and assumptions.
✅ Valuation Insights – Helps determine a firm’s sustainability and long-term economic value.
Use Cases
🔹 Investment Analysts – Evaluate the financial health and intrinsic value of companies.
🔹 Corporate Finance Professionals – Assess internal capital efficiency and return on assets.
🔹 Portfolio Managers – Compare CFROI across industries for better investment decisions.
🔹 Business Strategists – Optimize resource allocation and measure corporate growth potential.
How It Works
Input Key Financial Data – Enter company-specific values such as net cash flow, depreciation, and asset base.
Adjust Economic Assumptions – Modify discount rates and investment growth projections.
Analyze CFROI Trends – Review results to compare historical performance and future expectations.
Make Informed Decisions – Use the insights to assess investment opportunities and financial strategies.
Export & Share Reports – Generate reports for corporate analysis or investment presentations.