Practice discounted cash flow and leveraged buyout modeling on real public companies. Each exercise is generated from live financial data and produces an Excel file structured like an actual M&A deliverable — historical data pre-filled, modeling sections blank for you to complete.
Select a company by ticker. Reveol pulls five years of historical financials and generates a multi-tab Excel including revenue projections, EBIT bridge, NWC schedule, capex schedule, DCF with Gordon Growth and Exit Multiple terminal values, a 5×5 WACC × g sensitivity table, EV-to-equity bridge, and a Football Field valuation summary. Once completed, enter your outputs for automatic scoring with ±5% tolerance per metric.
Designed for students and junior professionals preparing for M&A, Transaction Services, Leveraged Finance, or Private Equity technical interviews. The difficulty level mirrors a first-round modeling test at a bulge bracket or boutique investment bank.