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asset value

Do Listed Real-Estate Companies Trade at a Discount to Their Net Asset Value?

Do Listed Real-Estate Companies Trade at a Discount to Their Net Asset Value?

... The data consists of 67 companies from Norway, Sweden, Denmark, Finland, Germany, the Netherlands, Belgium and the UK (see list in the Appendix 1). The business activity must primarily be to own and operate properties. ...

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On pricing risky loans and collateralized fund obligations

On pricing risky loans and collateralized fund obligations

... Loan spreads are analyzed for two types of loans. The first type takes losses at maturity only; the second follows the formulation of collateralized fund obliga- tions, with losses registered over the lifetime of the ...

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Investor Protection and Corporate Performance: Comparing Auditing Issues across countries

Investor Protection and Corporate Performance: Comparing Auditing Issues across countries

... market value divided by its replacement ...market value of assets (calculated as book value of assets minus book value of equity plus market value of equity) over book value of ...

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Determinants of P/E Ratio: An Empirical Study on Listed Manufacturing Companies in DSE

Determinants of P/E Ratio: An Empirical Study on Listed Manufacturing Companies in DSE

... net asset value per share are significant determinants of P/E ratio where dividend yield and size have negative influence but leverage and net asset value per share have positive influence on ...

8

A Review of Brand Valuation Method

A Review of Brand Valuation Method

... Brand value evaluation based on a comprehensive perspective exhibits establishing the link between brand asset and customers, considering the value brought to the enterprise and the customer at the ...

7

The treatment of assets in pension funding

The treatment of assets in pension funding

... actuarial asset values, which are typically an average of market asset values over short intervals, are used to dampen volatility when calculating contribution ...ial asset value is not a ...

14

Corporate governance of banks and financial stability

Corporate governance of banks and financial stability

... the asset value of a firm and the face value of its debt scaled by the standard deviation of the firm’s asset ...is asset volatility computed using the Merton (1974) ...market ...

56

Effects of Patents versus R&D Subsidies on Income Inequality

Effects of Patents versus R&D Subsidies on Income Inequality

... Some studies in the literature consider heterogeneous workers and explore the relationship between innovation and wage inequality. For example, Acemoglu (1998, 2002) develops an R&D-based growth model with two ...

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Banks Risk Taking and Creditors Bargaining Power

Banks Risk Taking and Creditors Bargaining Power

... In response, banks are encouraged to issue, in addition to their stock, unsecured debt (hereafter: subdebt), which is subordinated to their deposits. The subdebt serves as a buf- fer against declines in asset ...

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An examination of the accounting treatment and value relevance of intangible assets in publicly listed New Zealand companies : a thesis presented in partial fulfilment of the requirements for the degree of Master of Business Studies in Accounting at Masse

An examination of the accounting treatment and value relevance of intangible assets in publicly listed New Zealand companies : a thesis presented in partial fulfilment of the requirements for the degree of Master of Business Studies in Accounting at Massey University

... TABLE 4.12 : DESCRIPTIVE STATISTICS FOR INTANGIBLE ASSET PERCENTAGES 49 TABLE 4.13: MEAN AND MEDIAN FOR PERCENTAGE CONTRIBUTION TO TOTAL AND NONCURRENT ASSET VALUE MADE BY OTHER INTANGIB[r] ...

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Stock Picking Techniques:  The Practice Of Applied Money Managers

Stock Picking Techniques: The Practice Of Applied Money Managers

... The authors have shown that practitioners of money use several different techniques in picking stocks. They use discounted cash flow methods, but they supplement them with multiples and asset values approaches as ...

6

Reconstruction of Financial Performance to Manage Gap between Value Added Intellectual Coefficient (VAICTM) and Value of Company in Banking Company Listed in Indonesia Stock Exchange

Reconstruction of Financial Performance to Manage Gap between Value Added Intellectual Coefficient (VAICTM) and Value of Company in Banking Company Listed in Indonesia Stock Exchange

... IC is believed to play an important role in increasing value of company or financial performance. Companies that are able to efficiently utilize their IC, the MV will increase. The relationship between IC (VAIC™) ...

13

Effects of Return on Asset, Debt to Asset Ratio, Current Ratio, Firm Size, and Dividend Payout Ratio on Firm Value

Effects of Return on Asset, Debt to Asset Ratio, Current Ratio, Firm Size, and Dividend Payout Ratio on Firm Value

... Company size also needs to be considered by investors to see the firm value. According to (Thakur and Workman, 2016), company size can be measured by using the total assets, sales or capital of the company. ...

5

The Effect Of Intangible Asset, Financial Performance And Financial Policies On The Firm Value

The Effect Of Intangible Asset, Financial Performance And Financial Policies On The Firm Value

... Intangible assets according to Holmstrom (1989) has 5 unique characteristic: 1. Long-term, 2. The result can not be predicted, 3. High risk of bankruptcy, 4. Labor- intensive, 5. Special. These unique characteristic are ...

11

Volume II Issue II
                            2016
                            SHORT TERM FUND MANAGEMENT IN COMPARATIVE FRAMEWORK:THE TATA STEEL AND SAIL EXPERIENCE.

Volume II Issue II 2016 SHORT TERM FUND MANAGEMENT IN COMPARATIVE FRAMEWORK:THE TATA STEEL AND SAIL EXPERIENCE.

... Current asset, current liabilities and working capital of TATA Steel were presented in table ...Minimum value of current asset and liabilities was ...maximum value was ...current asset ...

11

A Baseline Review of the Knowledge Management Practices in the Parliament of South Africa

A Baseline Review of the Knowledge Management Practices in the Parliament of South Africa

... adds value and is a strategic asset and resource in Parliament as well as there is a link between knowledge to organisational performance and outcomes, there is a less-than-positive view of Parliament’s KM ...

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AN EMPIRICAL EVALUATION OF THE DETERMINANTS OF ALBANIAN BANKS’ PROFITABILITY BY FOCUSING ON THE RELATIONSHIP BETWEEN BANK PROFITABILITY AND STAFF SALARY

AN EMPIRICAL EVALUATION OF THE DETERMINANTS OF ALBANIAN BANKS’ PROFITABILITY BY FOCUSING ON THE RELATIONSHIP BETWEEN BANK PROFITABILITY AND STAFF SALARY

... of value maximization with no frictions such as taxes, market entry barriers, bankruptcy, asymmetric information, and no deposit ...to asset markets with better quality and also to cheaper and less risky ...

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ASSESSING THE VALUE OF THE ENTERPRISE: METHODS AND INSTRUMENTS

ASSESSING THE VALUE OF THE ENTERPRISE: METHODS AND INSTRUMENTS

... the value of the enterprise. Assessing the value of the enterprise must be in accordance with recommendations of the International Standards value assessment of the ...Enterprise value ...

10

Asymmetric Information and Capital Structure: Empirical Evidence from Indonesia Stock Exchange

Asymmetric Information and Capital Structure: Empirical Evidence from Indonesia Stock Exchange

... Even if markets are perfect and there is no tax impact, agency theory suggests that the appropriate mix of debt and equity is still an important matter for corporate governance (Chen and Strange, 2005). The core problem ...

8

Knowledge management in Brazilian, Portuguese and Polish organizations: A comparative analysis

Knowledge management in Brazilian, Portuguese and Polish organizations: A comparative analysis

... In a world of dynamic and discontinuous change, organizations are constantly seeking ways to adapt themselves to new conditions so that, they are prepared to survive and flourish in a competitive marketplace. Knowledge, ...

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