World227_SK_Task04
Investment Banking Scenario / Sensitivity AnalysisPrompt
You have the MFC model. Calculate the Total Debt / EBITDA in FY2030 and report it in multiple, rounded to one decimal place. Print your answer to me here. Reference the "Refinancing (Option A +B)” tab for interim calculations under Option A, Case 1 of the model “toggle.” Develop one scenario with the following specifications: Increase the Refinancing spread from 4.0% to 6.0%. Hold revenue growth constant at 6.0% per year from 2026 to 2030.
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Gold Response
The leverage ratio (Total Debt / EBITDA) in FY2030 is 2.5x
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Input Analysis
- Prompt
- 75 words - 444 chars
- ~98 tokens
- Structure
- 9 sentences - 0 questions
- Ref. Files
- 2 files
- 2 pdf
Output Analysis
- Output Type
- Message In Console
- Response
- text - 11 words - 1 lines
- ~14 tokens
- Prompt Tokens
- 98
- Gold Tokens
- 15
- Total Tokens
- 129
- Rubric
- 1 criteria