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LBO cashflow

LBO cashflow

Diving into the heart of the LBO Model, the 'LBO cashflow' 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, making it a vital tool for understanding the financial intricacies of a potential buyout. The model also includes a sensitivity analysis feature, allowing for a comprehensive examination of various exit scenarios and their impact on returns. It's a must-have for anyone seeking to grasp the complexities of LBO.

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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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Preview

LBO cashflow 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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