How do you model returns for late stage venture (Series B - D)
Inherent in doing, say, a Series B deal is that you will get diluted. How do you model the returns in this case? Do you just model returns assuming you don't get diluted?
Thanks
Inherent in doing, say, a Series B deal is that you will get diluted. How do you model the returns in this case? Do you just model returns assuming you don't get diluted?
Thanks
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