Dimensionless numbers for the net present value and the perpetual value of sustainable timber harvests from a monospecific uneven-aged forest
نویسندگان
چکیده
منابع مشابه
Project Portfolio Selection with the Maximization of Net Present Value
Projects scheduling by the project portfolio selection, something that has its own complexity and its flexibility, can create different composition of the project portfolio. An integer programming model is formulated for the project portfolio selection and scheduling.Two heuristic algorithms, genetic algorithm (GA) and simulated annealing (SA), are presented to solve the problem. Results of cal...
متن کاملA Heuristic Algorithm for Project Scheduling Problem to Maximizing the Net Present Value
This paper deals with resource unconstrained project scheduling problems with the objective of maximizing the net present value (NPV) of project cash flows. Here we present a heuristic algorithm named as differential procedure (Dif_AOA).
In order to evaluate the efficiency of this algorithm, networks with node numbers between 10-1000 and network complexity coefficients between 1.3-6.6 have ...
متن کاملA Heuristic Algorithm for Project Scheduling Problem to Maximizing the Net Present Value
This paper deals with resource unconstrained project scheduling problems with the objective of maximizing the net present value (NPV) of project cash flows. Here we present a heuristic algorithm named as differential procedure (Dif_AOA). In order to evaluate the efficiency of this algorithm, networks with node numbers between 10-1000 and network complexity coefficients between 1.3-6.6 have be...
متن کاملconditional copula-garch methods for value at risk of portfolio: the case of tehran stock exchange market
ارزش در معرض ریسک یکی از مهمترین معیارهای اندازه گیری ریسک در بنگاه های اقتصادی می باشد. برآورد دقیق ارزش در معرض ریسک موضوع بسیارمهمی می باشد و انحراف از آن می تواند موجب ورشکستگی و یا عدم تخصیص بهینه منابع یک بنگاه گردد. هدف اصلی این مطالعه بررسی کارایی روش copula-garch شرطی در برآورد ارزش در معرض ریسک پرتفویی متشکل از دو سهام می باشد و ارزش در معرض ریسک بدست آمده با روشهای سنتی برآورد ارزش د...
A Model for Developing the Best Strategy Combination Based on Balanced Scorecard, Fuzzy Net Present Value and Game Theory
Increasing competition has caused that organizations using evaluation, control and performance improvement try to maintain their supremacy in global markets. Balanced Scorecard model is one of the ways that can help organizations achieve this goal. In this study, the limitations of selecting performance criteria and executive strategies in balanced scorecard are discussed and two tools of curre...
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ژورنال
عنوان ژورنال: iForest - Biogeosciences and Forestry
سال: 2019
ISSN: 1971-7458
DOI: 10.3832/ifor2715-011