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Net Present Value and Risk Modelling for Projects

The Net Present Value (NPV) forecast lies at the heart of the business case on many projects. Martin Hopkinson's guide explains when, why;

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Net Present Value and Risk Modelling for Projects

The Net Present Value (NPV) forecast lies at the heart of the business case on many projects. Martin Hopkinson's guide explains when, why;

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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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Corporate Risk Management for Value Creation

at a global aluminium and packaging company. Corporate Risk Management and Value Creation presents a synthesis of academic research and;

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Oxford Handbook Of Credit Derivatives

-Gaussian modelling, and securitisation. Both reduced-form and firm-value models for the default of single entities are considered in detail, with;

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Modelling Complex Projects

clienta s demand reduced timescales. Problems that arise include inadequate planning and risk analysis, ineffective project monitoring and control;

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Risk and Foreign Direct Investment

Incorporating an accurate measure of risk is important to the appraisal of an international investment. This book examines and recommends;

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Risk and Foreign Direct Investment

Incorporating an accurate measure of risk is important to the appraisal of an international investment. This book examines and recommends;

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Financial Risk Modelling & Portfolio Opt

have text for risk modelling and portfolio optimization using R. This book introduces the latest techniques advocated for measuring financial;

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Measuring Financial Risk Modelling

financial risk, outlining different types of risk and measurement techniques for computing risk. The main computational technique which i use is the;

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Cost-Benefit Analysis and Evolutionary Computing

expansion and maintenance.The book presents substantial applications for both rural and urban projects and to the optimization of maintenance. The;

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The Advanced Measurement Approach to Operational Risk

for regulatory approval, and deliver value to their business lines. It presents many complex topics in a highly accessible manner. Five;

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Modelling Transport

. Enhancements include two entirely new chapters on modelling for private sector projects and on activity-based modelling; a new section on dynamic;

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Risk Management and Analysis

analysis. The topics covered include the regulatory framework, volatility and correlation models, value at risk, and credit risk. The book will;

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Project Financing

three key elements of cash flow; collateral/support structures; and risk management. Following a detailed description of project financing;

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Policy, Management and Finance of Public-Private Partnerships

; institutional and organisational approaches to facilitating partnership; project and corporate financing; risk and value management; market analysis;

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Investment Decision-making Using Optional Models

approach. Unlike the traditional net present value method, the actual options take into account indeterminate elements. These lead to;

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Quantitative Risk Management

The implementation of sound quantitative risk models is a vital concern for all financial institutions, and this trend has accelerated;

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Principles of Financial Modelling

rare. This book brings together concept and practice to provide a high value resource for anyone wanting to gain a practical understanding;

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Critical Success Factors (CSF's) for 3P's [Public, Private Partnership]

government departments and institutions for better future risk planning/management on P3 constructional projects and adjusting their strategies;

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Financial Modelling and Asset Valuation with Excel

variety of subjects such as net present value, internal rate of return, risk, portfolio theory, CAPM, VaR, project valuation, asset valuation;

Vergelijkbare producten zoals Financial Modelling and Asset Valuation with Excel

Financial Modelling and Asset Valuation with Excel

variety of subjects such as net present value, internal rate of return, risk, portfolio theory, CAPM, VaR, project valuation, asset valuation;

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Risk Analysis and Management for Projects (RAMP), Third Edition

RAMP is a structured process for evaluating and controlling risk in major projects and this practical, working handbook is for everyone;

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Teaching and Learning Mathematical Modelling

beginning of the 20th century to the present, and discusses the term mathematical model as well as different representations of the modelling;

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Capital Budgeting

forecasting) of cash flows, project appraisal formulae, and the application of net present value (NPV), internal rate of return (IRR) and other;

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Capital Budgeting

forecasting) of cash flows, project appraisal formulae, and the application of net present value (NPV), internal rate of return (IRR) and other;

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Operational Risk Modeling in Financial Services

that developed this methodology offers practical, in-depth guidance on XOI use and applications for a variety of major risks. The Basel;

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