Financial Modeling, 3rd Edition

Financial Modeling, 3rd Edition
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Financial Modeling, 3rd Edition Description

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Too often, finance courses tvångslös a connection between the funding of textbooks and real business difficulties. Monetary Modeling bridges this gap between theory and practice by offering a nuts and bolts of solving common monetary models with spreadsheets. No Simon Benn takes the reader step by step in each and every model, showing how it can be solved by using Microsoft Excel.

The long-awaited third edition of this default text maintains “recipes” of functions and Excel dependence that have produced the 1st and second editions so well-liked. It also introduces a new material, with new chapters on topics such as evaluation of bank utilizing the approach of Black and Litt Letterman to portfolio optimization, Monte Carlo strategies and their applications in evaluation alternatives, and use the matrix functions and formulas. Other chapters, which includes those based on financial calculations, portfolio models, calculating the variance-covariance matrix, and create random numbers, need to be Financial Modeling, 3rd Edition

\n\nFinancial Modeling, 3rd Edition Ebook

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