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Financial Modelling and Asset Valuation with Excel

language it amalgamates financial theory with Excel providing you with the skills you need to build financial models for private or professional;

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Financial Modelling and Asset Valuation with Excel

language it amalgamates financial theory with Excel providing you with the skills you need to build financial models for private or professional;

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Principles of Financial Modelling

align with the latest version of Excel and the current financial modelling climate, including new guidance on sensitivity analysis as a model;

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Principles of Finance with Excel

financial textbooks-including portfolios, capital asset pricing models, stock and bond valuation, capital structure and dividend policy, and option;

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Financial Modelling In Practice

starts with a review of Excel functions that are generally most relevant for building intermediate and advanced level models (such as Lookup;

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Practical Financial Modelling

production and development of complex spreadsheets and financial models. The author bridges the gap between the Excel manual and financial literature;

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Using Excel for Business and Financial Modelling

A hands-on guide to using Excel in the business context First published in 2012, Using Excel for Business and Financial Modelling;

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Using Excel for Business Analysis

your job faster, more efficiently, and with fewer errors. Financial modelling is an invaluable business tool, and Excel 2013 is capable;

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Financial Reporting, Financial Statement Analysis and Valuation

Financial Statements Analysis Package (FSAP) provide an Excel (R) model to make the analysis, forecasting and valuation process more efficient.;

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How to Implement Market Models Using VBA

discussion of code with programmers and financial engineers, giving readers insight into the different applications and customisations possible for;

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Financial Engineering with Copulas Explained

This is a succinct guide to the application and modelling of dependence models or copulas in the financial markets. First applied to credit;

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Principles of Finance with Excel

new and deeper insights into financial decision making. The second edition of Principles of Finance with Excel covers the same topics as;

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Financial Risk Management

Financial Risk Management covers the strategies, principles, and measurement techniques necessary to measure and manage financial risk;

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Advanced Modelling In Finance Using Excel And Vba

to analyse and develop ever more complex 'what if' scenarios.* Specifically applies Excel and VBA to the financial markets* Packaged with a;

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Financial Modeling

models has been rounded out with the introduction of a new, simple model for corporate valuation based on accounting data and a minimal number;

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Linear Factor Models in Finance

factor models (LFM) are part of modern investment processes that include asset valuation, portfolio theory and applications, linear factor models;

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Introduction To Financial Modelling

A simple walk-through of the common perils and pitfalls of financial modelling, this book examines the most common and necessary Excel;

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Ethical Asset Valuation and the Good Society

of our financial decision making. Ethical Asset Valuation and the Good Society starts by stating transparent moral principles and, from these;

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Continuing Financial Modelling

This book is aimed at those who wish to advance their knowledge and expertise in financial modelling by addressing common problems that;

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See-Through Modelling

advanced financial modeller in Excel. It gives the theory and practical detail necessary to build and maintain a financial model yourself. This;

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Fundamentals Of Institutional Asset Management

with describing the key activities involved in asset management and the various forms of risk in managing a portfolio. There is then coverage;

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Fundamentals Of Institutional Asset Management

with describing the key activities involved in asset management and the various forms of risk in managing a portfolio. There is then coverage;

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Asset Pricing

algebraic (valuation-preserving) operations are developed in asset spaces and pricing kernel spaces. This has a very important implication leading;

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A Behavioral Approach To Asset Pricing

Behavioral finance is the study of how psychology affects financial decision making and financial markets. This book examines the reigning;

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Weather Derivative Valuation

Originally published in 2005, Weather Derivative Valuation covers all the meteorological, statistical, financial and mathematical issues;

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Weather Derivative Valuation

Originally published in 2005, Weather Derivative Valuation covers all the meteorological, statistical, financial and mathematical issues;

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