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Articles related to the category "Tools"

Abnormal Earnings Valuation ModelAddition Rule for ProbabilitiesAdjusted EBITDAAdjusted Present Value (APV)Adjusted SurplusAll-In CostAlternative Depreciation System (ADS)Analysis of Variance (ANOVA)Appreciative InquiryAsset ValuationAutocorrelationBasic Earnings Per Share (EPS)Bonferroni TestBook-To-Ship RatioCalculated Intangible Value (CIV)Capacity Utilization RateCapital IntensiveCapital ReductionCapital ReserveCapitalization of EarningsCapitalized InterestCash Flow Return on Investment (CFROI)Cass Freight IndexCharacteristic LineComparable Company Analysis (CCA)ComparablesCompustatConditional ProbabilityConditional Value at Risk (CVaR)Confidence IntervalConsumption Capital Asset Pricing Model (CCAPM)Cost of RevenueCross-CorrelationCurrent Market Value (CMV)Debt-to-EBITDA Ratio (Debt/EBITDA Ratio)Degree of Financial Leverage – DFLDelphi MethodDiscounted Future EarningsDiscounts For Lack Of Marketability (DLOM)Dividend Discount Model – DDMEarningsEvent StudyExpanded Accounting EquationFactor InvestingFair ValueFinancial PerformanceForbes 500Fourier AnalysisFree Cash Flow YieldFully Depreciated AssetFunctional DecompositionFunds Transfer Pricing (FTP)Future Value (FV)Graham NumberGross Merchandise Value (GMV)Gross SalesHamada EquationHarvard MBA IndicatorHeadline EarningsHidden ValueHigh Minus Low (HML)Hypothesis TestingIndicated YieldInternational Equity Style BoxIntertemporal Capital Asset Pricing Model (ICAPM)Investment ViewK-RatioKelly CriterionLeague TableLemons ProblemLiability Adjusted Cash Flow Yield (LACFY)Log-Normal DistributionLong-Short RatioManifest VariableMargin of SafetyMarginal AnalysisMarket ApproachMarket EfficiencyMarket Value Of EquityMarkov AnalysisModel RiskModigliani-Miller Theorem (M&M)Mosaic TheoryMultiple CompressionMultiple Discriminant Analysis (MDA)Narrow Economic MoatNet Current Asset Value Per Share (NCAVPS)Net Present Value of Growth Opportunities (NPVGO)Net-NetNominal ValueNon-GAAP EarningsNormal DistributionNormalized EarningsObjective ProbabilityOkun's LawPearson CoefficientPopulationPrecedent Transaction AnalysisPrice-Growth FlowPrice/Earnings to Growth and Dividend Yield (PEGY Ratio)Qualitative AnalysisRelative Valuation ModelRepresentative SampleResearch ReportReturn on Total Assets (ROTA)Risk AssessmentRisk-Adjusted Capital RatioRisk-Adjusted ReturnS&P 500 Buyback IndexSalvage ValueSampling DistributionSeasonal AdjustmentSecurity Market Line (SML)Stewardship GradeStock AnalysisStockholders' EquityStress TestingSum-of-the-Parts Valuation – SOTPSynergyT-TestTangible Book Value Per Share (TBVPS)Tear SheetsThroughputTime SeriesTotal Shareholder Return (TSR)Treasury StockTruck Tonnage IndexUnlevered Free Cash Flow (UFCF)Weighted Average Loan Age (WALA)Wilcoxon Test