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What model does privateMetrics® use to estimate asset prices? -
What are the factors used to estimate asset prices? -
How do you define the risk factors used in the model? -
What was the rationale for selecting the risk factors used in your asset pricing model? -
How stable are the selected risk factors in your model? Is there a need to change them in the future? -
Why did you select the Price/Sales ratio for modelling as opposed to the more popular EV/EBITDA ratio? -
How accurately does privateMetrics® predict transaction/asset prices? -
What produces the variation in the estimated valuation of a private company month-on-month?