Essays about: "värderingsmodell"
Showing result 1 - 5 of 14 essays containing the word värderingsmodell.
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1. HR options and their valuation – a case study
University essay from KTH/Fastighetsekonomi och finansAbstract : This thesis introduces and discusses the notion that real options theory can be applied to investment decisions when the value lies in human capital. This approach contributes in circumventing traditional problems which arise during valuation of intangible assets. READ MORE
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2. Feature-Based Dynamic Pricing of Airline Ancillaries
University essay from KTH/Skolan för elektroteknik och datavetenskap (EECS)Abstract : Airline ancillary revenue has increased substantially over the past years. Despite the increasing attention, its pricing models have mostly progressed slowly and remained simple. In this work we apply dynamic pricing models for the purpose of maximizing airline ancillary revenue. Our contributions in this thesis are threefold. READ MORE
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3. Private Equity Portfolio Management and Positive Alphas
University essay from KTH/Matematisk statistikAbstract : This project aims to analyze Nordic companies active in the sector of Information and Communications Technology (ICT), and does this in two parts. Part I entails analyzing public companies to construct a valuation model aimed at predicting the enterprise value of private companies. READ MORE
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4. Valuing firms within the utilities sector using regression analysis: : An empirical study of the US and European market
University essay from KTH/Matematisk statistikAbstract : Valuing a company is an important task in finance, especially before a potential merger or acquisition of a company. It is then of great importance for both parties in a deal to make an accurate estimate of the value of the company. READ MORE
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5. Quantification of Model Rrisk
University essay from KTH/Matematisk statistikAbstract : The awareness of model risk has increased due to the increased use of models to valuate financial instruments and their increasing complexity and regulators now require financial institutions to manage it. Despite this, there is still no industry or market standard when it comes to the quantification of model risk. READ MORE