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Delving into the heart of the LBO Model, the 'LBO cash flow' model provides a detailed breakdown of the cash flow dynamics in a Leveraged Buyout scenario. It meticulously outlines the levered cash flow, debt schedule, and high yield aspects, offering a comprehensive view of the financial landscape. The model also includes a sensitivity analysis feature, allowing for an exploration of different exit scenarios and their impact on returns. This tool is instrumental in understanding the intricate cash flow mechanisms in an LBO, making it an invaluable resource for anyone studying or working in finance.
This sheet is part of our LBO Model spreadsheet. Available in Google Sheets and Microsoft Excel.
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