Parámetros de simulación
A — Costos directos
Total costos directos: {{ directCostsTotalFmt }}/mo
B — OpEx mensual WakeUp
C — Renovaciones
{{ ren.name }} — {{ ren.mrrFmt }}/mo
Sensitivity vs baseline
Earnout total
{{ deltaEarnoutFmt }}
Sensitivity vs baseline
Net Result
{{ deltaNetFmt }}
Sensitivity vs baseline
Meses EBITDA negativo
{{ deltaNegativeMonthsLabel }}
Earnout cap
Consumido {{ earnoutCapUsedFmt }} de $3,000,000 · Restante {{ earnoutCapRemainingFmt }}
{{ earnoutCapPct }}%
Descalce de cash flow: el earnout se paga a Lucas al dia {{ weightedCollectionDaysLabel }} de cobranza promedio ponderada. Capital de trabajo estimado para cubrir el float: {{ workingCapitalFmt }} .
Total Earnout pagado a Lucas
{{ totalEarnoutFmt }}
Total Net Result WakeUp
{{ totalNetResultFmt }}
Meses EBITDA negativo
{{ negativeMonths }}
EBITDA vs. Gross Revenue mensual
P&L mensual (Jul-26 → Jul-28)
Mes
Gross Revenue
Costos Directos
Net Revenue
Earnout Webee 50%
WakeUp 50%
Fee Lucas 10%
WakeUp after fee
OpEx
EBITDA
Taxes 30%
Net Result
Acum. Earnout
{{ r.label }}
{{ r.gross }}
{{ r.directCosts }}
{{ r.netRevenue }}
{{ r.earnout }}
{{ r.wakeup50 }}
{{ r.feeLucas }}
{{ r.wakeupAfterFee }}
{{ r.opex }}
{{ r.ebitda }}
{{ r.taxes }}
{{ r.netResult }}
{{ r.cumEarnout }}