EBITDA/value and Fixed assets/BV
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This is a research, Master level question.
I need to know the definitions of the variables below. How would they affect a company's portfolio performance and risk.
They are: average beta, Market D/E Ratio, Tax rate, Unleveled Beta, Cash/Firm Value, Unleveled beta corrected for cash, standard deviation in stock, standard deviation, Beta, R-squared, EBITDA/value, Fixed assets/BV, Capital spending/BV of Capital, insiders holdings and institutional holdings.
Which are more explicative? Which are less??
Thank you,
PS Please ignore the attached file!
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Solution Summary
This discusses the concepts such as EBITDA/value, Fixed assets/BV, etc.
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This is a research, Master level question.
I need to know the definitions of the variables below. How would they affect a company's ...
Purchase this Solution
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