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1. Corporate social responsibility, carbon footprints and stock market valuation.

2. Introducing and Testing the ZZ Growth Model for Stock Valuation

3. Analysis of Sharia Stock Valuation Using The FCFE And Relative Valuation Methods Sector Listed on The Sharia Securities List.

5. Stock Valuation of Telecommunication Provider in Saudi Arabia with the Case Study of Tawal Spin-Off of Saudi Telecom Company (STC).

6. Valuation of Common Stock Using the Earnings Multiple Model: An Applied Study in the Iraqi Stock Market.

7. Stock Valuation of Cement Industry in 2019 and 2021 due to COVID-19 using Free Cash Flow to Firm (FCFF) and Relative Valuation (RV)

8. STOCK VALUATION ANALYSIS OF PT SINAR MAS AGRO RESOURCES AND TECHNOLOGY TBK USING FREE CASH FLOW TO THE FIRM AND RELATIVE VALUATION.

9. ANALYSIS OF STOCK VALUATION AND BUSINESS PERFORMANCE OF A DIGITAL MEDIA COMPANY IN INDONESIA BEFORE AND AFTER THE COVID-19 PANDEMIC (CASE STUDY: GLOBAL MEDIACOM).

10. STOCK VALUATION AND BUSINESS PERFORMANCE OF PROPERTY INDUSTRY POST COVID-19 ERA (CASE STUDY OF PT BUMI SERPONG DAMAI TBK).

11. UNBOXING 'ICBP' BUSINESS DURING PANDEMIC: HAS PRICE REFLECTED ACCOUNTING INFORMATION?

12. Practice Prize Report: The 2020 and 2022 ISMS Gary Lilien Practice Prize Competition.

13. Impact of Trends in Actual EPS and Achievement of Management's Forecasts on Investors' Decision-Making.

14. A Theory of Customer Valuation: Concepts, Metrics, Strategy, and Implementation.

15. The Difference Between Preferred & Common Stocks in Europe from the Market Perspective

16. Stock Price Reaction to Debt Offerings: The Turkish Evidence.

17. Dividend based risk measures: A Markov chain approach.

18. Taking the Pulse of the Real Economy Using Financial Statement Analysis: Implications for Macro Forecasting and Stock Valuation

19. Valoración estadística - financiera para medio plazo del sector bancario en países con economías emergentes. El caso de Colombia || Statistical - financial value for the medium term of the banking sector in countries with emerging economies. The case of Colombia

20. ANALISIS PENILAIAN HARGA WAJAR SAHAM DAN KEPUTUSAN INVESTASI SECARA FUNDAMENTAL DENGAN MENGGUNAKAN METODE PRICE EARNING RATIO (Studi Keuangan Pada Sektor Industri Barang Konsumsi Yang Terdaftar Di BEI)

21. Determinants of occurrence of excessive optimism among analysts of the Warsaw Stock Exchange

22. Pronóstico de quiebra y valuación de acciones en empresas sustentables de México en la era COVID19.

23. Capital markets valuation and accounting performance of Most Admired Knowledge Enterprise (MAKE) award winners

24. Accounting and the Macroeconomy: The Case of Aggregate Price-Level Effects on Individual Stocks

25. Accounting and the macroeconomy: The case of aggregate price-level effects on individual stocks

26. A study of the market reaction to CEO change.

27. THE DIFFERENCE BETWEEN PREFERRED & COMMON STOCKS IN EUROPE FROM THE MARKET PERSPECTIVE.

28. Artificial Intelligence in Finance: Valuations and Opportunities.

29. Do Male and Female Investors Use Different Information when Assessing Stock Valuation and Trustworthiness?

31. Plano de reorganização institucional anunciado pelo Banco do Brasil: um estudo empírico sobre a reação das ações do banco.

32. Stochastic dividend discount model: covariance of random stock prices.

33. How do investors price stocks?—Evidence with real‐time data from Vietnam.

34. Company Value Creation through Effective Innovation Process Management

36. Fundamental analysis of the selected stock

37. Towards and Effective Financial Management: Relevance of Dividend Discount Model in Stock Price Valuation

38. Relevância de Prêmio por Risco País no Custo de Capital das Empresas

40. Pengaruh Cluster Emiten terhadap Return Saham JSX Berbasis Parameter Rasio Analisa Fundamental

41. Stock Valuation of Indonesia Pharmaceutical Company with COVID-19 Vaccination Development Prospects Amidst Pandemic Situation (Case Study of PT. Kalbe Farma, Tbk.)

42. Stock Valuation in Pharmaceutical Sub-Sector Companies using the Discounted Cash Flow and Relative Valuation Methods in the 2013-2020 Period

43. Stock Valuation using Discounted Cash Flow Method with Free Cash Flow to Equity and Relative Valuation Approaches on State-Owned Banks Listed on IDX for 2021 to 2025 Period Projection

44. Volatility Analysis of Select Blue Chip Companies Listed in Nifty 50 Index of India

45. Market valuation and corporate investment in India

46. ESG´s korrelation till nyckeltal : En kvantitativ studie hur värdepappaer påverkas av ESG-betyg

47. ESG and Stock Prices

49. Undervaluation and non‐financial information: Evidence from voluntary disclosure of CSR news

50. Short-Sales Constraints and the Diversification Puzzle

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