IRR LBO

Delving into the heart of the LBO Model, the 'IRR LBO' model is a crucial component. It is designed to calculate the Internal Rate of Return (IRR) for a Leveraged Buyout (LBO) scenario. This model is equipped with features such as a debt schedule, levered cash flow analysis, and a sensitivity analysis. It also includes a revolver and high yield calculations, making it a comprehensive tool for scenario and exit analysis. This model is a valuable asset for anyone seeking to understand the financial implications of a leverage buyout.

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LBO Model

Excel

15 Sheets

LBO Model

Google Sheets

15 Sheets

IRR LBO Sheet preview
LBO operating assumptions Sheet preview
LBO operating assumptions Sheet preview
LBO Transactions Sheet preview
Sources and uses Sheet preview
Debt schedule charts Sheet preview
Debt schedule charts Sheet preview
Debt schedule Sheet preview
Debt schedule Sheet preview
Cashflow charts LBO Sheet preview
LBO cashflow Sheet preview
Operating assumptions Sheet preview
LBO cash flow Sheet preview
Sensitivity analysis LBO Sheet preview
Sensitivity analysis LBO Sheet preview
LBO Model Spreadsheet preview

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IRR LBO Sheet preview

Full preview (15 Sheets)

IRR LBO Sheet preview
LBO operating assumptions Sheet preview
LBO operating assumptions Sheet preview
LBO Transactions Sheet preview
Sources and uses Sheet preview
Debt schedule charts Sheet preview
Debt schedule charts Sheet preview
Debt schedule Sheet preview
Debt schedule Sheet preview
Cashflow charts LBO Sheet preview
LBO cashflow Sheet preview
Operating assumptions Sheet preview
LBO cash flow Sheet preview
Sensitivity analysis LBO Sheet preview
Sensitivity analysis LBO Sheet preview

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