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A periodic business valuation report built directly on the metrics inside your Semantic Nexus. No manual input, no spreadsheet gymnastics — your live operational data drives a defensible valuation at any point in time.
Explore the proof of conceptMost business valuations are one-off exercises: a financial model built manually in a spreadsheet, using whatever numbers the finance team could pull together at that moment. They take weeks, go stale the day they're finished, and are almost impossible to reproduce consistently.
The Enterprise Valuator takes a different approach. Because your key financial and operational metrics already live inside the Semantic Nexus — defined, maintained, and always current — we can apply recognised valuation methodologies directly to that live data.
The result is a valuation report that refreshes automatically as your metrics move. You can see how revenue growth, gross margin, and retention translate into enterprise value, run scenarios by adjusting assumptions, and produce a consistent, defensible number whenever a board meeting, fundraise, or acquisition discussion requires it.
Adjust the metric inputs to see how operational changes affect your enterprise value trajectory.
Enterprise Valuator
Northfield Logistics B.V. · Updated Q2 2026
Estimated Enterprise Value
€4.2M
↑ +12% vs Q1 2026
Revenue multiple: 3.2×
Revenue Growth (YoY)
18%
↑ +3pp year-over-year
ARR: €1.31M
Gross Profit Margin
67%
→ Stable vs prior quarter
GP: €288K / quarter
Ann. Revenue per Account
€4,800
↑ +€240 vs prior year
273 active accounts
Revenue & Valuation Trajectory
Scenario Adjustments
Scenario Valuation
€5.8M
↑ +38% vs current
Based on adjusted inputs above
Illustrative output — valuation methodology and metrics are configured per company context.
Connected directly to your Semantic Nexus, the valuator reads your latest metrics automatically. No manual data preparation required — the numbers are always current.
See how your enterprise value has moved over time — not just a point-in-time number. Track the trend alongside revenue and profitability to understand what's driving the valuation.
Adjust revenue growth, gross margin, and retention assumptions to model scenarios. See instantly how operational decisions translate into valuation impact before a board meeting or fundraise.
The valuator runs on a schedule — quarterly, monthly, or whenever you need it. Each report is consistent, reproducible, and versioned so you can compare valuations over time.
The valuation applies established methodologies — revenue multiples, ARR-based approaches, profitability adjustments — so the output is grounded in something you can present to investors or a board.
The goal of the proof of concept is to prove that complex valuation logic can be made accessible to founders and operators — not just to M&A advisors. No finance background required to read the output.
The current phase is about validating the core question: can we build a simple, easy-to-use business valuator that produces a meaningful result from the metrics already inside the Semantic Nexus? We're running the PoC with a small group of early clients to test the methodology, the interface, and whether the output is useful in practice.
Once the PoC validates the approach, the beta phase will expand the methodology coverage, refine the scenario modelling, and test the reporting format with a wider group. The production version will be offered as a monthly subscription — pricing will depend on the features and complexity of the valuator as it takes shape.
The Enterprise Valuator is in proof of concept phase. While we're validating the approach and refining the methodology with early clients, there's no cost to participate. The PoC and beta will remain free.
Once the production version launches, it will be offered as a monthly licence fee. The exact pricing — and what's included at each tier — will be shaped by what we learn during the PoC and beta. Early participants will have direct input into that process.
PoC & beta
Free
While we validate and refine together.
Production
TBD
Monthly licence — shaped by the PoC findings.
Product Owner · Maintainer
Founder · Maxq Analytics
Philip is leading the Enterprise Valuator proof of concept. He designed the valuation methodology, the data model connecting it to Semantic Nexus, and is working directly with early clients to test whether the approach holds up in practice.
Developer
Full member · Maxq Analytics
Daniel is building the Enterprise Valuator alongside Philip. He handles the technical implementation — wiring the valuation logic to live client data in Semantic Nexus, building the report output, and developing the scenario modelling layer.
We'll walk you through the current proof of concept, connect it to your metrics, and run the first valuation together — so you leave with a number you can actually use.
Explore the proof of concept