precedent-transaction-analyzer
M&A precedent transaction analysis skill with deal sourcing and premium analysis
What this skill does
# Precedent Transaction Analyzer ## Overview The Precedent Transaction Analyzer skill provides comprehensive M&A transaction analysis capabilities. It enables deal sourcing, multiple extraction, and premium analysis to support valuation and negotiation in M&A contexts. ## Capabilities ### Transaction Database Search - Deal database querying - Industry filtering - Date range selection - Deal size parameters - Transaction type filtering - Geographic focus ### Deal Multiple Extraction - Enterprise value calculation - LTM multiple computation - NTM multiple extraction - Revenue multiple analysis - EBITDA multiple calculation - Transaction-specific metrics ### Control Premium Analysis - Unaffected price determination - Premium calculation methodology - Time period selection - Volume-weighted analysis - 52-week high comparison - Offer price evolution ### Synergy Consideration - Announced synergy extraction - Synergy multiple calculation - Synergy-adjusted analysis - Integration cost consideration - Revenue synergy treatment - Run-rate normalization ### Deal Structure Comparison - Cash vs. stock consideration - Collar mechanisms - Earnout structures - CVR analysis - Break fee comparison - Deal protection mechanisms ### Timeline and Sector Filtering - Transaction timing - Economic cycle consideration - Sector-specific analysis - Cross-border filtering - Strategic vs. financial buyers - Public vs. private targets ## Usage ### Precedent Analysis ``` Input: Target profile, transaction criteria, date range Process: Search deals, extract multiples, calculate premiums Output: Transaction analysis, comparable deals, valuation range ``` ### Deal Benchmarking ``` Input: Proposed transaction terms, comparable deals Process: Compare terms, analyze premiums, assess structure Output: Deal benchmark analysis, negotiation points, market positioning ``` ## Integration ### Used By Processes - M&A Financial Due Diligence - Comparable Company Analysis - Capital Investment Appraisal ### Tools and Libraries - M&A databases (Refinitiv) - PitchBook - Deal comps tools - Press release parsing ## Best Practices 1. Use transactions from relevant time period 2. Adjust for market condition differences 3. Consider strategic rationale similarity 4. Account for synergy expectations 5. Document deal-specific circumstances 6. Cross-reference with trading analysis
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