From valuation-reviewer
Build quick IRR/MOIC sensitivity tables for PE deal evaluation. Models returns across entry multiple, leverage, exit multiple, growth, and hold period scenarios. Use when sizing up a deal, stress-testing assumptions, or preparing IC returns exhibits. Triggers on "returns analysis", "IRR sensitivity", "MOIC table", "what's the return at", "model the returns", or "back of the envelope".
How this skill is triggered — by the user, by Claude, or both
Slash command
/valuation-reviewer:returns-analysisThe summary Claude sees in its skill listing — used to decide when to auto-load this skill
Ask for (or extract from prior analysis):
Ask for (or extract from prior analysis):
Entry:
Financing:
Operating Assumptions:
Exit:
Calculate:
| Metric | Value |
|---|---|
| Entry EV | |
| Equity invested | |
| Exit EBITDA | |
| Exit EV | |
| Net debt at exit | |
| Exit equity value | |
| MOIC | |
| IRR | |
| Cash-on-cash |
Show the returns waterfall:
Build 2-way sensitivity matrices:
Entry Multiple vs. Exit Multiple
| Exit 6x | Exit 7x | Exit 8x | Exit 9x | Exit 10x | |
|---|---|---|---|---|---|
| Entry 7x | |||||
| Entry 8x | |||||
| Entry 9x | |||||
| Entry 10x |
EBITDA Growth vs. Exit Multiple (at fixed entry)
Leverage vs. Exit Multiple (at fixed entry and growth)
Hold Period vs. Exit Multiple
Show both IRR and MOIC in each cell (IRR / MOIC format).
Build 3 scenarios:
| Bull | Base | Bear | |
|---|---|---|---|
| Revenue CAGR | |||
| Exit EBITDA margin | |||
| Exit multiple | |||
| Exit EBITDA | |||
| MOIC | |||
| IRR |
Creates, edits, and optimizes skills for Claude Code, including drafting, evaluating with test prompts, iterating on performance, and improving skill descriptions for better triggering accuracy.
npx claudepluginhub arthurc02/anthropicfinancialagents --plugin valuation-reviewer