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Real Option Valuation

The Real Option Valuation model encompasses a suite of option pricing tools to quantify the embedded strategic value for a range of financial analysis and investment scenarios. Option pricing tools include Black-Scholes, Binomial, and Game Theory.
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Program Specs

Date Added: Jan-01-2005
File Size: 180 KBytes
Version: 1.0
Type: Shareware
Languages: English
Vendor: Excel Business Tools
OS Support: Win95 Win98 WinME WinNT 3.x WinNT 4.x Windows2000 WinXP
Requirements: Requires Microsoft Excel 97 or higher
Price:

$ 26.00  Order Now!

Description

The Real Option Valuation model encompasses a suite of option pricing tools to quantify the embedded strategic value for a range of financial analysis and investment scenarios. Traditional discounted cash flow investment analysis will only accept an investment if the returns on the project exceed the hurdle rate. While this is a worthwhile exercise, it fails to consider the myriad of strategic options that are associated with many investments. This model provides the ability to identify what options might exist in your proposal and the tools to estimate the quantification of them. The key features of this model include: Ease and flexibility of input, with embedded help prompts; Informative 'Quick Start' menu for choosing the correct tool for the situation; Modified Black Scholes models to value the options to delay, expand, or abandon investments; Automatic binomial 'tree' builder model to evaluate complex strategic options with multiple stages; Nash equilibrium Game Theory model to evaluate market entry strategies in a competitive environment; and Ability to predefine historical investment and/or industry risk profiles to utilize across models.
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Products Released by Excel Business Tools

Investment and Business Valuation  Evaluating a wide range of investment proposal and business valuation scenarios
Portfolio Optimization  Determining optimal weightings for a portfolio of financial assets or businesses
Portfolio Performance Monitoring  Monitoring and tracking the performance of a portfolio of financial assets
Regression Analysis and Forecasting  Producing statistically sound value driver identification for forecasting data

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