Are you sure about that? Do you have a measurement of the predictive power of DCF vs. simply discounted peer PE multiple on realized stock returns? For that matter, what is your outright estimate of the R^2 of deviation from DCF-estimated NPV on 1y stock returns? Or do you have some soft sell-side definition of "good methodology"? This sounds like one of those middle-of-the-bell-curve memes about estimation error in a long horizon DCF calculation and false precision..
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