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Financial modelling and asset valuation with Excel

By: Helbaek, MortenContributor(s): Lovaas, Ragnar | Mjolhus, Jon OlavMaterial type: TextTextPublication details: Oxon Routledge 2022 Description: xiv, 430 pISBN: 9781138948143Subject(s): Finance--Mathematical models--Computer programs | Microsoft Excel (Computer file) | Capital assets pricing model | Hedging (Finance)DDC classification: 332.0285554 Summary: Book Description 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.
List(s) this item appears in: Finance & Accounting | Public Policy & General Management
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Holdings
Item type Current library Collection Call number Copy number Status Date due Barcode
Book Book Indian Institute of Management LRC
General Stacks
Finance & Accounting 332.0285554 HEL (Browse shelf(Opens below)) 1 Available 002014

Table of Contents
Part I: Excel 1. Getting Started 2. Formulas and Functions 3. Charts and Tables 4. What-If Analysis 5. Data Analysis Part II: Basic Finance 6. Time Value of Money 7. Investments 8. Risk and Portfolio Models Part III: Valuation 9. Valuation of investments and projects 10. Real Estate 11. Bonds 12. Stocks 13. Options Part IV: Simulations 14. Monte Carlo Simulations Part V: VBA 15. Visual Basic for Applications 16. Programming in VBA 17. Control Structures 18. Working with VBA 19. Procedures 20. Arrays 21. UserForms

Book Description
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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