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Corporate asset management-an integrated model for investment portfolio assessment

机译:企业资产管理 - 投资组合评估的综合模型

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Assessing the value of investments can be considered a multidimensional problem and a continuous process wherein the decision-maker is confronted with multiple needs, requirements and values. Thus, all investments and investment portfolios should be evaluated, selected and prioritised not only in terms of money, but also with regard to dependability, sustainability and other aspects to be able to form the optimal investment portfolio. This paper proposes a life-cycle cost-oriented portfolio analysis model that will better serve investment decision-making in the capital-intensive industry. The conceptual model includes economic assessment, risk assessment, as well as strategic and technical analyses. From a long-term perspective, applying a more integrated approach to investment portfolio assessments generates several benefits, including advancing companies' and stakeholders' abilities to manage investments and to support the goal of sustainable business growth.
机译:评估投资的价值可以被认为是多维问题和一个连续过程,其中决策者面临多种需求,要求和值。因此,应评估所有投资和投资组合,不仅在金钱方面被评估,并优先考虑,而且还考虑到可靠性,可持续性和其他方面,以便能够形成最佳投资组合。本文提出了一种生命周期成本导向的投资组合分析模型,将更好地为资本密集型行业提供投资决策。概念模型包括经济评估,风险评估以及战略和技术分析。从长远的角度来看,应用更综合的投资组合评估方法产生了多项福利,包括推进公司和利益相关者的管理能力,并支持可持续业务增长的目标。

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