Select two listed companies on the S&P/ASX 200 index and recommend which one you will invest your money in by performing the following analysis:1. Analyse and compare the corporate governance structure including the list of major shareholders, board of directors and executive management team. Which company has better corporate governance practices? How does this affect the return on your investment? (5 marks)
2. Discuss and compare the alignment between executive compensation/remuneration and company performance. How does this affect the return on your investment? (5 marks)
3. Perform share valuation using the following methods:a. Constant Growth Valuation Model (1 mark)b. Zero Growth Valuation Model (1 mark)c. Variable Growth Valuation Model (Describe and justify the various growth stage and associated growth rate in the model) (5 marks)d. Compare the share value between the two companies. Select the company you will invest in, and explain in detail why you made this choice. (3 marks)e. Comment on which model is most suitable for valuing the shares of each company, respectively. Explain why. (Hint: analyse the corporate strategies and key projects in the annual reports of the companies.) (5 marks)
my part isPerform share valuation using the following methods:a. Constant Growth Valuation Model (1 mark)b. Zero Growth Valuation Model (1 mark)c. Variable Growth Valuation Model (Describe and justify the various growth stage and associated growth rate in the model)