A working portfolio of financial models, deal memos, and market research — built the way an analyst desk actually works, assumptions and all.
Full capital structure, debt schedule, and exit sensitivity for a hypothetical sponsor-backed buyout.
View full model →Three-stage DCF with WACC build-up and terminal value sensitivity across growth assumptions.
View full model →TAM/SAM breakdown, channel economics, and a positioning map of direct-selling vs. D2C players.
View full model →Chemical engineer turned M&A professional. I spent my early career inside operating processes before moving into deal analysis — which means I read a business from the plant floor up, not just the P&L down. This portfolio is where that shows up: models built with the same rigor I'd bring to a real diligence process.