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Found 33 Skills
Toolkit for building TAM/SAM/SOM models, sensitivity analyses, and narrative-ready visuals.
QUERY LENGTH LIMIT EXCEEDED. MAX ALLOWED QUERY : 500 CHARS
Discounted cash flow (DCF) valuation model built from Longbridge financial data — historical FCF (operating cash flow minus capex), projected FCF with growth assumptions, WACC (Beta / risk-free rate / equity risk premium), terminal value, intrinsic value vs current price, and margin of safety. Triggers: "DCF", "现金流折现", "内在价值", "自由现金流", "WACC", "折现率", "安全边际", "终值", "现金流贴现", "現金流折現", "內在價值", "自由現金流", "折現率", "安全邊際", "DCF model", "discounted cash flow", "intrinsic value", "free cash flow", "WACC", "discount rate", "margin of safety", "terminal value", "Gordon growth".
Manages financial risks through quantitative analysis, modeling, and mitigation strategies.
Use when modeling unit economics, calculating burn rate, building financial projections, pricing analysis, revenue forecasting, or any CFO-level financial decisions
Perform break-even analysis to determine the sales volume or revenue needed to cover all costs. Use this skill when the user needs to calculate break-even point, assess margin of safety, evaluate operating leverage, or decide pricing and volume trade-offs — even if they say 'how many units do we need to sell', 'when will we be profitable', or 'what happens if we lower the price'.
Build Discounted Cash Flow (DCF) valuation models to estimate intrinsic value. Use this skill when the user needs to value a company, evaluate an investment, estimate fair share price, or build financial projections — even if they say 'what is this company worth', 'should we acquire them', or 'build me a valuation model'.
Model free cash flow to evaluate project or business value. Use for investment decisions, valuation, and understanding cash dynamics.
This skill should be used when completing LBO (Leveraged Buyout) model templates in Excel for private equity transactions, deal materials, or investment committee presentations. The skill fills in formulas, validates calculations, and ensures professional formatting standards that adapt to any template structure.
Produces a margin-by-product table and three pricing-scenario data views so the owner can see the full financial picture before making a pricing decision. Accepts optional product name argument.
Create institutional-quality equity research initiation reports through a 5-task workflow. Tasks must be executed individually with verified prerequisites - (1) company research, (2) financial modeling, (3) valuation analysis, (4) chart generation, (5) final report assembly. Each task produces specific deliverables (markdown docs, Excel models, charts, or DOCX reports). Tasks 3-5 have dependencies on earlier tasks.
When the user wants to plan production or distribution capacity, analyze capacity requirements, optimize resource utilization, or balance capacity with demand. Also use when the user mentions "capacity analysis," "resource planning," "bottleneck analysis," "capacity expansion," "load balancing," "throughput planning," "utilization optimization," or "capacity modeling." For production scheduling, see master-production-scheduling. For long-term network capacity, see network-design.