
| Financial Model, Infrastructure, Telecom & Mobile Sites |
| Financial Model, Investor Cash Flows, IRR (Internal Rate of Return), KPIs (Key Performance Indicators), LBO (Levered Buyout) |
Complete Buy-Side Telecom Tower Portfolio LBO Model.
This model allows investors to make a full tower portfolio acquisition process, creating a buy-side case for their investment committee.
The model has been built on an annual basis. It has been designed to provide insights for an investor looking to acquire, grow, and sell a tower portfolio.
The financial model has the following detailed tabs:
- Summary (outputs for investment committee presentations)
- Control: includes all operating assumptions and allows to create scenarios
- Lender Control: includes all debt assumptions and allows to create scenarios for different lenders
- SG&A build: detailed breakdown of personnel costs and other central office costs
- OpModel: develops the operating company’s cash flow with a detailed bottom-up construction
- Financials: summary of P&L, Cash Flow and Tax
- Debt: develops a detailed debt structure with different debt tranches
- Valuation: returns, entry, and exit multiple analysis
The financial model includes an example case for operational, entry, and exit assumptions with deep industry know-how. Acquiring this model will help you understand the main levers tower companies have in their business plans and how aggregators and infrastructure funds think while bidding for a tower portfolio.
It has a debt example, which is common in terms of structure and margins, as if a head of terms had been provided by a commercial bank.
The valuation tab has complete uses & sources, entry valuation based on an entry value with an implicit entry multiple, collection of dividends throughout the investment period, exit date, exit valuation based on an exit multiple, and investor returns.
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