Fundraising Dilution Calculator
Model post-money ownership for founders, existing holders, a new investor and a pre-financing option-pool increase.
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Transparent, browser-based calculations with visible assumptions and finance-team review notes.
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Model post-money ownership for founders, existing holders, a new investor and a pre-financing option-pool increase.
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Showing 1–9 of 421 finalized resources.
Model post-money ownership for founders, existing holders, a new investor and a pre-financing option-pool increase.
A finalized core reference calculation framework for m&a in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for m&a in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for m&a in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for m&a in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for venture capital in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for private equity in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for private equity in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
A finalized core reference calculation framework for private credit in Global that establishes the baseline concepts, sequence, roles and decision boundaries, with complete evidence, execution and review controls.
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A stage-by-stage guide to mandate definition, diligence, valuation, buyer or investor engagement, documentation, approvals and closing.
A disciplined monthly investor-update structure covering performance, cash, milestones, risks, asks and source ownership.
A cross-functional acquisition diligence checklist for corporate, financial, tax, commercial, technology, people and compliance review.
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Each resource receives a defined search intent, audience, parent topic, cluster, evidence perimeter, recommended schema and update frequency. Specialist claims require appropriate review before publication.
Use them as educational and preparation material. Verify current facts, jurisdiction and transaction terms, and obtain legal, tax, regulatory, accounting or investment advice where required.
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