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Advanced project management software with integrated risk analysis
Simple risk calculator calculates a set of risk measures such as VaR CVaR etc
Determine project risk and contingency required
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RiskyProject is advanced project management software with integrated risk analysis. Project managers can use RiskyProject for planning, scheduling, quantitative risk analysis, and performance measurement of projects with multiple risks and uncertainties. RiskyProject allows managers to improve their ability to predict the course of projects and determine how risks and uncertainties will affect the project.
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Simple risk calculator calculates a set of risk measures, such as VaR, CVaR, dispersions, and risk\reward ratios. The calculator is useful for decision making, risk engineering, risk measurement, and risk management tasks.
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Project Risk Analysis is for Cost Engineering and Project Management pros who must develop cost estimates of known accuracy and risk on capital investment projects. Uses Monte Carlo Simulation to find the contingency needed to achieve any desired level of confidence. All statistical models are already set up. Output in graphical and tabular form. Spreadsheets can be imported as ASCII text.
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This software downloads lines (odds) directly from offshore bookmakers. They do not come from a third party server. The software arranges them into a simple Excel type of graphic user interface. Hear the Alarm & Bet when arbitrage is found.
The software comes with a limited number of free lines (Purchase Additional Lines). Once you try the software, you will understand why it works. The offshore sportsbook market is full of opportunity.
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Review by sas: verry good software
Traditional services find arbitrage opportunities and email them to hundreds of subscribers. Only the first few people to act are going to make money in that situation. This tool is the fastest method simply because it interacts directly with the bookmakers. (4/5 - 22-Jun-2006)
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MegaBonus VideoPoker slot machine - Play the casino card game Poker. Special features are: Arrows Bonus, Points Bonus, Joker, 3rd draw, Risk function, Risk Bonus, Half win, no lose Risk, ... and much more. The game is played with 52 playing cards + joker according to the general poker rules. Several progressive bonus functions offer fun without limits, e.g. Bonus 1-3 with trigger jackpot, arrows bonus with trigger payout.
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In Risk II the world is at war and you are the commander of an army fighting for global domination. In this fast-paced game of strategy negotiation and luck you must organize your forces in order to crush your enemies and take their territories. The classic game comes to life on your PC with more ways to play, advanced map options, superior graphics, and animated battles.
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The Portfolio Optimization model calculates the optimal capital weightings for a basket of investments that gives the highest return for the least risk. The unique design of the model enables it to be applied to either financial instrument or business portfolios. The ability to apply optimization analysis to a portfolio of businesses represents an excellent framework for driving capital allocation, investment, and divestment decisions.
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Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory by giving the risk, return or investors utility function; or with respect to CAPM by given the risk, return or Market Portfolio weighting. Also includes Performance Evaluation, interpolation procedures, analysis of Efficient Frontier, Market Portfolio and CML.
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Advanced aviation logbook for Windows. Completely customizable, comprehensive reports, interactive charts, custom currencies, powerful data analysis, and free tech support. Try risk free with no time limits. User-defined data fields, track certificates, ratings, medicals, biennials, currency, and more. Pivot-table analysis, exports to RTF, PDF, HTML, Excel...Import any CSV or TAB delmited text data file. Palm and Pocket PC Companions!!!
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Apply the Markowitz Theory and Capital Asset Pricing Model (CAPM) to analyze and construct the optimal portfolio with/without asset weight constraints with respect to Markowitz Theory by giving the risk, return or investors utility function; or with respect to CAPM by given the risk, return or Market Portfolio weighting. Also includes Performance Evaluation, interpolation procedures, analysis of Efficient Frontier, Market Portfolio and CML.
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