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Techno-Economic Analysis for
                      Innovation Valuation                                                                                                            www.sark7.com

                                     Integrated financial modeling & simulation for
    OVERVIEW                          high-risk / high-reward innovation valuation
This integrated techno-economic analysis process offers a framework for undertaking complex valuation to guide strategic
decision making and to refine strategy. The method integrates Net Present Value (NPV), Monte Carlo simulation, and Real
Options Analysis (ROA) to extrapolate the value of an innovation, particularly when new and uncertain markets are involved.
Keywords: techno-economic analysis, valuation, innovation, strategy, management of uncertainty, optimization, IP, R&D, NPV, ROA

                                         Identifying business
   1          SCOPE               objectives, model artifacts, data &
                                               structure
                                                   Organizational identification of business needs, requirements, opportunities, challenges, risk
                       1                           tolerance, and key historical data. A highly segmented NPV model provides a skeleton. A Project
                                                   Finance approach is utilized for value analysis, focusing on: 1) cash flows, 2) stakeholder
                                                   segmentation, and 3) explicit risk identification and allocation (i.e. partners, customers, financiers).
                       2
                                                                                              Providing insight into risks / opportunities
                       6
                                                            2 MODEL                             via integrating probability & scenario
          5                         3                                                                           analysis
                                                            Revenue streams                NPV Model             Monte Carlo                 Decision Tree        Opportunity
                                                                                                                 Simulation                    Analysis            Analysis
                                                               OPEX Costs
                       4
                                                          CAPEX expenditures

                                                                 Financing
                       7
                                                      Static Net Present Value (NPV) analysis presents a highly linear and selective view of a
                                                      prospect, often overlooking key opportunities and risks. The techno-economic model framework
                                                      extends traditional Net Present Value (NPV) analysis via integrated Monte Carlo (probability) and
                                                      Real Options Analysis (scenarios) to facilitate robust analysis of risks and opportunities.
      3        RANGES                                 Continuously and iteratively refined, the model is an organizational artifact, bringing together
                                                      diverse experts and stakeholders into a unified, structured conversation. Economy and
Static variables are extended to ‘ranges’ (i.e.       transparency are key: the model must be as simple as possible with a clear audit path concerning
min, max, average; historical probability             key assumptions.
distributions) based upon historical data and
experts. Key variables are enhanced
according to an understanding of their                                                                       Integrated simulation gives direct
probabilistic behavior, bringing insight to
variable factors affecting capital/operating
                                                                5         SIMULATE                           insight into volatility & sensitivity
costs, revenue, economic factors, etc.
                                                                                   Stakeholder                                                      Combined, Monte Carlo
                                                                                                       D/E mix
                                                                                 componentization                                                   simulation and Decision Tree
                                                                      Business structure                   Financing terms                          results show expected
                                                                                                                                                    ranges & sensitivities via
      4 SCENARIOES                                       Effect of
                                                        timing on            COSTS
                                                                                            INVESTMENT
                                                                                             STRUCTURE
                                                                                                              REVENUES
                                                                                                                                                    risk-adjusted NPV outcomes.
                                                           NPV                                                                          Market      The highly-segmented model
                                                                                                                                        price
                                                             CAPEX
                                                                                                                       Market size                  provides both roll-up and
                                                                                                                        simulation analysis
                                                                                                                                                    deep-dive insights into
                                                           OPEX             COST              NPV           REVENUE
                                                                                                                              Market
                                                                                                                                                    integrated strategic factors:
                                                                                                                           competition
                                                        Commodity       OPTIMIZATION       SIMULATION     OPTIMIZATION                              Financial (granular):
                                                                                                                            simulation
Gross and uncertain factors (both risks &              price analysis
                                                                                                                  Price elasticity Alternate        uncertainties, price
opportunities) are added to the NPV model              Scale analysis /
                                                                                                                   optimization scenarios           variability, revenues, CAPEX/OP
via a branching Decision Tree. Such factors              comparison                                                               (license, sell)   EX, market price
                                                                                            FINANCIAL
could include: chance and cost of legal                  Proof-of-
                                                                                  Tax     ENGINEERING Jurisdictional                                elasticity, currency & interest
                                                        concept or
suit, chance of subsidy/grant, market                   straight to            structure                    arbitrage                               rates, etc...
size, R&D success/failure, chance of                     market?         Derivative    Grants & Currency       Interest rate                        Scenario-based (gross):
competitor entering, alternate strategies for                             hedging      subsidies forecasting forecasting                            investment, timing, scaling, PO
commercialization
                                                                                                                                                    C cost/savings, risk
(timing, scale, offering, licensing, partnering,
                                                                                                                                                    strategies, commercialization/r
 sell). Decision Tree analysis allows for
                                                                                                                                                    evenue
advanced like-to-like introspection regarding
                                                                                                                                                    strategies, financing, market, k
macro-level risks and opportunities.
                                                                                                                                                    ey risks, etc…


                                    Refine comparative scenarios by                                                             Review and validate: refine model via
  6 OPTIMIZE                   x
                               optimizing structure, planning, timing…                         7 ITERATE                        x
                                                                                                                               refined information and understandings

Integrated simulation allows for formal volatility, sensitivity, and
 x                                                                                           The universal NPV basis allows for like-to-like comparisons across a
optimization analysis at both a gross and granular level (final NPV
                                                                                             diverse strategic portfolio. Comparative strategies can be refined:
and component-level). Gaining insight into systemic
                                                                                             structured financing, hybrid models (i.e. licensing, risk
dynamics, particular areas can be targeted for efficiency /
                                                                                             sharing), scaling, timing, tax, etc. Implicit stakeholder perceptions &
exploitation. Structured scenarios can then be tailored to optimize
                                                                                             assumptions are made explicit & verified throughout development and
profits and to reduce costs.
                                                                                             refinement of the model.

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Techno Economic Analysis

  • 1. Techno-Economic Analysis for Innovation Valuation www.sark7.com Integrated financial modeling & simulation for OVERVIEW high-risk / high-reward innovation valuation This integrated techno-economic analysis process offers a framework for undertaking complex valuation to guide strategic decision making and to refine strategy. The method integrates Net Present Value (NPV), Monte Carlo simulation, and Real Options Analysis (ROA) to extrapolate the value of an innovation, particularly when new and uncertain markets are involved. Keywords: techno-economic analysis, valuation, innovation, strategy, management of uncertainty, optimization, IP, R&D, NPV, ROA Identifying business 1 SCOPE objectives, model artifacts, data & structure Organizational identification of business needs, requirements, opportunities, challenges, risk 1 tolerance, and key historical data. A highly segmented NPV model provides a skeleton. A Project Finance approach is utilized for value analysis, focusing on: 1) cash flows, 2) stakeholder segmentation, and 3) explicit risk identification and allocation (i.e. partners, customers, financiers). 2 Providing insight into risks / opportunities 6 2 MODEL via integrating probability & scenario 5 3 analysis Revenue streams NPV Model Monte Carlo Decision Tree Opportunity Simulation Analysis Analysis OPEX Costs 4 CAPEX expenditures Financing 7 Static Net Present Value (NPV) analysis presents a highly linear and selective view of a prospect, often overlooking key opportunities and risks. The techno-economic model framework extends traditional Net Present Value (NPV) analysis via integrated Monte Carlo (probability) and Real Options Analysis (scenarios) to facilitate robust analysis of risks and opportunities. 3 RANGES Continuously and iteratively refined, the model is an organizational artifact, bringing together diverse experts and stakeholders into a unified, structured conversation. Economy and Static variables are extended to ‘ranges’ (i.e. transparency are key: the model must be as simple as possible with a clear audit path concerning min, max, average; historical probability key assumptions. distributions) based upon historical data and experts. Key variables are enhanced according to an understanding of their Integrated simulation gives direct probabilistic behavior, bringing insight to variable factors affecting capital/operating 5 SIMULATE insight into volatility & sensitivity costs, revenue, economic factors, etc. Stakeholder Combined, Monte Carlo D/E mix componentization simulation and Decision Tree Business structure Financing terms results show expected ranges & sensitivities via 4 SCENARIOES Effect of timing on COSTS INVESTMENT STRUCTURE REVENUES risk-adjusted NPV outcomes. NPV Market The highly-segmented model price CAPEX Market size provides both roll-up and simulation analysis deep-dive insights into OPEX COST NPV REVENUE Market integrated strategic factors: competition Commodity OPTIMIZATION SIMULATION OPTIMIZATION Financial (granular): simulation Gross and uncertain factors (both risks & price analysis Price elasticity Alternate uncertainties, price opportunities) are added to the NPV model Scale analysis / optimization scenarios variability, revenues, CAPEX/OP via a branching Decision Tree. Such factors comparison (license, sell) EX, market price FINANCIAL could include: chance and cost of legal Proof-of- Tax ENGINEERING Jurisdictional elasticity, currency & interest concept or suit, chance of subsidy/grant, market straight to structure arbitrage rates, etc... size, R&D success/failure, chance of market? Derivative Grants & Currency Interest rate Scenario-based (gross): competitor entering, alternate strategies for hedging subsidies forecasting forecasting investment, timing, scaling, PO commercialization C cost/savings, risk (timing, scale, offering, licensing, partnering, strategies, commercialization/r sell). Decision Tree analysis allows for evenue advanced like-to-like introspection regarding strategies, financing, market, k macro-level risks and opportunities. ey risks, etc… Refine comparative scenarios by Review and validate: refine model via 6 OPTIMIZE x optimizing structure, planning, timing… 7 ITERATE x refined information and understandings Integrated simulation allows for formal volatility, sensitivity, and x The universal NPV basis allows for like-to-like comparisons across a optimization analysis at both a gross and granular level (final NPV diverse strategic portfolio. Comparative strategies can be refined: and component-level). Gaining insight into systemic structured financing, hybrid models (i.e. licensing, risk dynamics, particular areas can be targeted for efficiency / sharing), scaling, timing, tax, etc. Implicit stakeholder perceptions & exploitation. Structured scenarios can then be tailored to optimize assumptions are made explicit & verified throughout development and profits and to reduce costs. refinement of the model.