关于
This skill automates the creation of comprehensive financial models following investment banking standards. It guides users through gathering essential financial data—such as revenue growth, EBITDA margins, and WACC—to build a robust multi-sheet Excel workbook. The resulting model includes detailed assumptions, five-year free cash flow projections, intrinsic value calculations, and a two-way sensitivity analysis to evaluate enterprise value under varying market conditions, providing a powerful tool for investment research and corporate finance analysis.