finance-investment
| rank | capability | source |
|---|---|---|
| #451 | Designs rights issue structures with subscription ratios, pricing discounts, and standby underwriting arrangements. Use when structuring rights offerings, analyzing dilution protection, or evaluating capital raise alternatives. | CaseMark/skills |
| #452 | Designs royalty and streaming agreements with volume projections, delivery schedules, and implied return analysis. Use when structuring royalty deals, analyzing stream economics, or evaluating passive resource exposure. | CaseMark/skills |
| #453 | Designs systematic investment products with transparent methodology, rebalancing rules, and index construction specifications. Use when designing smart beta products, creating index methodologies, or structuring systematic funds. | CaseMark/skills |
| #454 | Designs corporate spin-off execution with Remainco/SpinCo capitalization, Form 10 preparation, and tax-free qualification analysis. Use when structuring spin-offs, analyzing separation mechanics, or evaluating Remainco impact. | CaseMark/skills |
| #455 | Designs structured equity with participating preferred, PIK dividends, conversion mechanics, and downside protection features. Use when structuring growth equity instruments, designing preference terms, or modeling structured returns. | CaseMark/skills |
| #456 | Designs institutional term loan structures with amortization schedules, repricing protection, and soft call provisions. Use when structuring TLBs, analyzing institutional loan terms, or comparing bank vs institutional debt. | CaseMark/skills |
| #457 | Designs TRS structures with reference asset selection, financing rate mechanics, and collateral arrangements. Use when structuring TRS, analyzing synthetic exposure, or evaluating unfunded exposure alternatives. | CaseMark/skills |
| #458 | Designs tracking stock structures with attributed business economics, intergroup arrangements, and value realization mechanics. Use when evaluating tracking stocks, analyzing attributed value structures, or assessing partial separation alternatives. | CaseMark/skills |
| #459 | Designs whole business securitization with IP collateral, franchise cash flows, and operating covenant structures. Use when structuring WBS transactions, analyzing franchise securitizations, or evaluating non-traditional collateral. | CaseMark/skills |
| #460 | Monitors beneficial ownership filings with accumulation pattern analysis, intent assessment, and historical activist progression. Use when tracking 13D filings, analyzing accumulation patterns, or identifying potential activist situations. | CaseMark/skills |
| #461 | Monitors portfolio company KPIs including burn rate, runway, MRR growth, CAC/LTV, and cohort performance. Use when tracking portfolio metrics, assessing company health, or preparing portfolio reviews. | CaseMark/skills |
| #462 | Evaluates platform add-on opportunities with strategic fit, synergy potential, and return contribution. Use when analyzing add-on M&A, evaluating bolt-on targets, or building platform acquisition strategies. | CaseMark/skills |
| #463 | Evaluates agency MBS with prepayment modeling, OAS analysis, and convexity assessment. Use when analyzing agency MBS, modeling prepayments, or evaluating mortgage bond convexity. | CaseMark/skills |
| #464 | Evaluates AI/ML applications in financial services with model governance, bias assessment, and regulatory considerations. Use when analyzing AI in finance, evaluating ML models, or assessing AI governance. | CaseMark/skills |
| #465 | Evaluates alternative investment strategies (hedge funds, real assets, private markets) with risk-return and liquidity analysis. Use when analyzing alternatives, evaluating fund strategies, or assessing illiquidity premiums. | CaseMark/skills |
| #466 | Evaluates annuity structures with guaranteed benefit analysis, fee comparison, and surrender value modeling. Use when analyzing annuities, comparing guaranteed benefits, or evaluating annuity products. | CaseMark/skills |
| #467 | Structures banking system assessment with capital adequacy, asset quality, and systemic risk evaluation. Use when analyzing banking systems, assessing financial stability, or evaluating systemic risk. | CaseMark/skills |
| #468 | Structures biodiversity risk assessment with nature-related dependency mapping and TNFD alignment. Use when analyzing biodiversity risk, mapping nature dependencies, or implementing TNFD disclosure. | CaseMark/skills |
| #469 | Evaluates BNPL business models with credit performance, merchant economics, and regulatory treatment. Use when analyzing BNPL, evaluating installment products, or assessing consumer lending innovation. | CaseMark/skills |
| #470 | Structures capitalization rate analysis with market comparison, risk premium decomposition, and trend assessment. Use when analyzing cap rates, comparing market yields, or assessing pricing trends. | CaseMark/skills |
| #471 | Evaluates management capital allocation decisions across M&A, buybacks, dividends, and reinvestment. Use when assessing capital allocation, analyzing ROIC, or evaluating shareholder return strategies. | CaseMark/skills |
| #472 | Structures carbon footprint analysis with Scope 1/2/3 measurement and intensity benchmarking. Use when measuring carbon emissions, analyzing Scope 3, or benchmarking carbon intensity. | CaseMark/skills |
| #473 | Structures catastrophe risk assessment with model output interpretation and accumulation monitoring. Use when analyzing cat risk, interpreting cat model results, or managing cat exposure. | CaseMark/skills |
| #474 | Structures commodity derivative pricing with forward curve construction and convenience yield estimation. Use when pricing commodity derivatives, analyzing forward curves, or modeling commodity markets. | CaseMark/skills |
| #475 | Structures commodity market analysis with supply/demand balances, inventory dynamics, and price driver attribution. Use when analyzing commodities, evaluating supply/demand, or forecasting commodity prices. | CaseMark/skills |