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precedent-transaction-analyzer

// M&A precedent transaction analysis skill with deal sourcing and premium analysis

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updated:March 4, 2026
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SKILL.md Frontmatter
nameprecedent-transaction-analyzer
descriptionM&A precedent transaction analysis skill with deal sourcing and premium analysis
allowed-toolsRead,Write,Glob,Grep,Bash
metadata[object Object]

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