Regression sensitivity analysis for cash flow simulation based real option valuation

Regression sensitivity analysis for cash flow simulation based real option valuation

Year of publication

2010

Authors

Haahtela, Tero

Organizations and authors

Aalto University

Haahtela Tero

Publication type

Publication format

Article

Parent publication type

Journal

Article type

Original article

Audience

Scientific

Peer-reviewed

Peer-Reviewed

MINEDU's publication type classification code

A1 Journal article (refereed), original research

Publication channel information

Publisher

Elsevier

Volume

2

Issue

6

Pages

7670-7671

​Publication forum

71304

​Publication forum level

1

Open access

Open access in the publisher’s service

Yes

Open access of publication channel

Fully open publication channel

Self-archived

Yes

Other information

Fields of science

Computer and information sciences; Business and management; Psychology; Political science; Other social sciences

Internationality of the publisher

International

Language

English

International co-publication

No

Co-publication with a company

No

DOI

10.1016/j.sbspro.2010.05.171

The publication is included in the Ministry of Education and Culture’s Publication data collection

Yes

Regression sensitivity analysis for cash flow simulation based real option valuation - Research.fi