Financial Modelling and Asset Valuation with Excel

Business & Finance, Accounting, Economics
Cover of the book Financial Modelling and Asset Valuation with Excel by Morten Helbæk, Ragnar Løvaas, Jon Olav Mjølhus, Taylor and Francis
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Author: Morten Helbæk, Ragnar Løvaas, Jon Olav Mjølhus ISBN: 9781134620272
Publisher: Taylor and Francis Publication: July 18, 2013
Imprint: Routledge Language: English
Author: Morten Helbæk, Ragnar Løvaas, Jon Olav Mjølhus
ISBN: 9781134620272
Publisher: Taylor and Francis
Publication: July 18, 2013
Imprint: Routledge
Language: English

Finance is Excel! This book takes you straight into the fascinating world of Excel, the powerful tool for number crunching. In a clear cut language it amalgamates financial theory with Excel providing you with the skills you need to build financial models for private or professional use. A comprehensive knowledge of modeling in Excel is becoming increasingly important in a competitive labour market.

The chapters in part one start with the most basic Excel topics such as cell addresses, workbooks, basic formulas, etc. These chapters get more advanced through part one, and takes you in the end to topics such as array formulas, data tables, pivot tables, etc.  The other parts of the book discusses a variety of subjects such as net present value, internal rate of return, risk, portfolio theory, CAPM, VaR, project valuation, asset valuation, firm valuation, loan, leasing, stocks, bonds, options, simulation, sensitivity analysis, etc.

View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart

Finance is Excel! This book takes you straight into the fascinating world of Excel, the powerful tool for number crunching. In a clear cut language it amalgamates financial theory with Excel providing you with the skills you need to build financial models for private or professional use. A comprehensive knowledge of modeling in Excel is becoming increasingly important in a competitive labour market.

The chapters in part one start with the most basic Excel topics such as cell addresses, workbooks, basic formulas, etc. These chapters get more advanced through part one, and takes you in the end to topics such as array formulas, data tables, pivot tables, etc.  The other parts of the book discusses a variety of subjects such as net present value, internal rate of return, risk, portfolio theory, CAPM, VaR, project valuation, asset valuation, firm valuation, loan, leasing, stocks, bonds, options, simulation, sensitivity analysis, etc.

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