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Chapter 1. The Real Estate Market in Developed Economies and Emerging Economies -- Chapter 2. The Research Design and Methods -- Chapter 3. The Finance Options & Criteria for Securing Finance for Real Estate Project Development in Developed and Emerging Economies -- Chapter 4. Critical Success...
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We develop a double moral hazard model that predicts that the use of project finance increases with both the political risk of the country in which the project is located and the influence of the lender over this political risk exposure. In contrast, the use of project finance should decrease as...
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This paper analyzes the impact of model complexity on the net present value distribution and the expected default probability of equity investments in project finance. Model complexity is analyzed along two dimensions: simulation complexity and forecast complexity. We aim to identify model...
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This study deals with the baseline and impact indicators for the EU rural development programming period 2007-2013. Key concepts are explained in part A, Common baseline indicators are defined in part B and Guidelines are provided for defining additional baseline indicators.
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