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The Pay-Off Method: Re-Inventing Investment Analysis: With numerical application examples from different industries

by Mikael Collan D. Sc
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Current price ₹2,589.00
Original price ₹2,940.00
Original price ₹2,940.00
Original price ₹2,940.00
(-12%)
₹2,589.00
Current price ₹2,589.00

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Book cover type: Paperback
  • ISBN13: 9781478238423
  • Binding: Paperback
  • Subject: N/A
  • Publisher: Createspace Independent Publishing Platform
  • Publisher Imprint: Createspace Independent Publishing Platform
  • Publication Date:
  • Pages: 130
  • Original Price: USD 29.99
  • Language: English
  • Edition: N/A
  • Item Weight: 273 grams
  • BISAC Subject(s): Accounting / Managerial

Businesses and managers everywhere are finding out that using the classical investment analysis methods is not enough to cover their need for smart decision-support for high risk, hard to estimate investments under vague information, such as investments into R&D, IPR, and any other strategic projects and assets. This book introduces the pay-off method and shows how the method can enhance investment analysis and decision-support in a profound way. The pay-off method and a selection of tools within the pay-off method arsenal, including real option valuation, are simple to use, transparent, no-nonsense, and intuitive to understand. This book explains the pay-off method in detail and shows with many numerical easy-to-follow examples how the method can be applied in real-world decision-making in different industries. This book shows also how decision-making can be enhanced by visualizing imprecision and how real option valuation can be performed simply. All method presented are easily implementable with the most commonly used spread-sheet software. The pay-off method is a clear continuation to where the "old" investment analysis methods usually leave uss off and gives you a chance to better plan and to understand your investments. After having read this book you will never be the same decision-maker again, but you will know what information to require for better investment decision-making.

Mikael Collan is a professor of strategic finance at the Lappeenranta University of Technology in Finland. He has a long background in asset valuation and using fuzzy logic in modeling inaccuracy with regards to corporate investment decision-making. Mikael has worked with a number of multi-national corporations on a number of different issues that have to do with investment profitability analysis and investment decision-making - many of them connected to the examples shown in this book. Mikael serves in the boards of a number of companies and is an active member of the academic community around real option valuation and operational research. He also has a background in information systems research. After finishing his doctoral degree he spent a time in the industry and has since returned to academia and now for the first time shares his views on investment analysis in a book format.

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