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DCF and Risk-Neutral Valuation

option pricing theory and on the concepts of replication and no arbitrage, risk-neutral valuation uses a completely different approach to account;

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Valuation, Seventh Edition + DCF Model Download - Measuring and Managing the Value of Companies

The Valuation DCF Model, 7th Edition is a vital companion to the seventh edition of Valuation, containing an expert guide and the renowned;

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Advances in the Valuation and Management of Mortgage-Backed Securities

, MBS index replication strategies and market neutral strategies, Monte Carlo/OAS methodology, valuation of inverse floaters and ARMs, relative;

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Risk-Neutral Valuation

theory behind the risk-neutral valuation principle and its application to the pricing and hedging of financial derivatives. On the probabilistic;

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Risk Neutral Pricing and Financial Mathematics

Risk Neutral Pricing and Financial Mathematics: A Primer provides a foundation to financial mathematics for those whose undergraduate;

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Valuation + DCF Model Download

valuation and valuation techniques as applied to different industries, emerging markets, and other special situations. The accompanying DCF model;

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Valuation

Valuation: The Art and Science of Corporate Investment Decisions is the first textbook to offer an integrated approach to both project and;

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Discounted Cash Flow

value of future free cash flows. In this respect firm valuation is identical with the calculation of the discounted cash flow, DCF. There are;

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Financial Modelling for Project Finance

, renewables and infrastructure, and for funding structures including classic project finance, PFI, PPP, BOT & DCF valuation. Clear explanation;

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2017 Valuation Handbook U.S. Guide to Cost of Capital

Study (the former SBBI Valuation Yearbook data) and the Risk Premium Report Study, and more. Easy-to-follow examples: The 2017 Valuation;

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Small Business Valuation Methods

management, the valuation process allows the measurement of the strengths and weaknesses of a company and provides a historical reference for;

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Quantitative Investing for the Global Markets

allocation; optimum diversification levels; style analysis and evaluation; market neutral strategies; global stock valuation; advanced strategies for;

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PDE Valuation of Interest Rate Derivatives

an efficient computational treatment of risk-neutral product valuation by using PDE methods.;

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Project Valuation Using Real Options

systematic approach to project valuation helps you minimize upfront investment risks, exercise flexibility in decision making, and maximize the;

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Mortgage Valuation Models

at the leading edge of MBS valuation and risk analysis. Mortgage Valuation Models: Embedded Options, Risk and Uncertainty is a detailed;

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Interest Rate Risk Modeling

The definitive guide to fixed income valuation and risk analysis The Trilogy in Fixed Income Valuation and Risk Analysis comprehensively;

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Security Valuation And Risk Analysis

Valuation and Risk Analysis.In this pioneering book, valuation authority Kenneth Hackel presents his next-generation methodology for placing a;

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Valuation and Risk Management in Energy Markets

Valuation and Risk Management in Energy Markets surveys the mechanics of energy markets and the valuation of structures commonly arising;

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Valuation & Risk Management In Energy Ma

Valuation and Risk Management in Energy Markets surveys the mechanics of energy markets and the valuation of structures commonly arising;

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Project Valuation and Decision Making under Risk and Uncertainty applying Decision Tree Analysis and Monte Carlo Simulation

economic valuation of projects which are subjected to risks and uncertainties. The Net Present Value of a project is usually used as an investment;

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Investment Banking

, precedent transactions, DCF, LBO, M&A analysis...and now IPO analytics and valuation. Using a step-by-step, how-to approach for each methodology;

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Advanced Fixed-Income Valuation Tools

valuation on credit risk, mortgages, munis, and indexed bonds.;

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Digital Asset Valuation and Cyber Risk Measurement

Digital Asset Valuation and Cyber Risk Measurement: Principles of Cybernomics is a book about the future of risk and the future of value;

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Innovations in Derivatives Markets

in: * Modeling counterparty credit risk: credit valuation adjustment, debit valuation adjustment, funding valuation adjustment, and wrong way risk;

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Derivatives Markets

Risk-Neutral Valuation and the Binomial Option Pricing Model Equivalent Martingale Measures: The Modern Approach to Option Pricing Option;

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Risk, Value And Default

for understanding the interaction between enterprise risk management with corporate valuation and corporate default. The book seeks to explore;

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