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Crash Course Financial Modelling

Author : Can Akdeniz
Publisher : Can Akdeniz
Page : 40 pages
File Size : 35,85 MB
Release : 2019-01-05
Category :
ISBN :

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Financial modeling is the knowledge of various tools that are able to convert the extensive data into the comprehensible form. It is a skill which is required by management especially in the field of investment banking, equity research, commercial banking, project management and any & every sector which is a part of the financial service industry. The crash course undertakes different aspects which will enable the students to go in the financial world and manage these various tools. The crash course is designed for students who are looking for a career in the Corporate Finance world. Upon completion of the course, the students gain in-depth knowledge and they will be able to create dynamic financial models. The dynamic business world requires a model in cases like mergers and acquisitions, financial operations and controlling and the required skill is imparted by the Financial Modeling crash course. The students become ready to work on the spectrum of information and with the help of Excel and additional tools are ready to make a mark in the industry.

Crash Course Financial Modelling

Author : IntroBooks
Publisher :
Page : 36 pages
File Size : 21,98 MB
Release : 2019-12-16
Category :
ISBN : 9781676256427

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Financial modeling is the knowledge of various tools that are able to convert the extensive data into the comprehensible form. It is a skill which is required by management especially in the field of investment banking, equity research, commercial banking, project management and any & every sector which is a part of the financial service industry. The crash course undertakes different aspects which will enable the students to go in the financial world and manage these various tools. The crash course is designed for students who are looking for a career in the Corporate Finance world. Upon completion of the course, the students gain in-depth knowledge and they will be able to create dynamic financial models. The dynamic business world requires a model in cases like mergers and acquisitions, financial operations and controlling and the required skill is imparted by the Financial Modeling crash course. The students become ready to work on the spectrum of information and with the help of Excel and additional tools are ready to make a mark in the industry.

Crash Course in Accounting and Financial Statement Analysis

Author : Matan Feldman
Publisher : John Wiley & Sons
Page : 294 pages
File Size : 37,14 MB
Release : 2011-07-20
Category : Business & Economics
ISBN : 1118160614

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Seamlessly bridging academic accounting with real-life applications, Crash Course in Accounting and Financial Statement Analysis, Second Edition is the perfect guide to a complete understanding of accounting and financial statement analysis for those with no prior accounting background and those who seek a refresher.

Financial Modeling and Valuation

Author : Paul Pignataro
Publisher : John Wiley & Sons
Page : 432 pages
File Size : 45,70 MB
Release : 2013-07-10
Category : Business & Economics
ISBN : 1118558766

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Written by the Founder and CEO of the prestigious New York School of Finance, this book schools you in the fundamental tools for accurately assessing the soundness of a stock investment. Built around a full-length case study of Wal-Mart, it shows you how to perform an in-depth analysis of that company's financial standing, walking you through all the steps of developing a sophisticated financial model as done by professional Wall Street analysts. You will construct a full scale financial model and valuation step-by-step as you page through the book. When we ran this analysis in January of 2012, we estimated the stock was undervalued. Since the first run of the analysis, the stock has increased 35 percent. Re-evaluating Wal-Mart 9months later, we will step through the techniques utilized by Wall Street analysts to build models on and properly value business entities. Step-by-step financial modeling - taught using downloadable Wall Street models, you will construct the model step by step as you page through the book. Hot keys and explicit Excel instructions aid even the novice excel modeler. Model built complete with Income Statement, Cash Flow Statement, Balance Sheet, Balance Sheet Balancing Techniques, Depreciation Schedule (complete with accelerating depreciation and deferring taxes), working capital schedule, debt schedule, handling circular references, and automatic debt pay downs. Illustrative concepts including detailing model flows help aid in conceptual understanding. Concepts are reiterated and honed, perfect for a novice yet detailed enough for a professional. Model built direct from Wal-Mart public filings, searching through notes, performing research, and illustrating techniques to formulate projections. Includes in-depth coverage of valuation techniques commonly used by Wall Street professionals. Illustrative comparable company analyses - built the right way, direct from historical financials, calculating LTM (Last Twelve Month) data, calendarization, and properly smoothing EBITDA and Net Income. Precedent transactions analysis - detailing how to extract proper metrics from relevant proxy statements Discounted cash flow analysis - simplifying and illustrating how a DCF is utilized, how unlevered free cash flow is derived, and the meaning of weighted average cost of capital (WACC) Step-by-step we will come up with a valuation on Wal-Mart Chapter end questions, practice models, additional case studies and common interview questions (found in the companion website) help solidify the techniques honed in the book; ideal for universities or business students looking to break into the investment banking field.

Excel for Finance & Accounting

Author : Vincent Bisette
Publisher : Independently Published
Page : 0 pages
File Size : 20,97 MB
Release : 2024-03-02
Category : Business & Economics
ISBN :

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Reactive Publishing In the fast-paced world of finance and accounting, efficiency isn't just a goal; it's a necessity. "Excel for Finance & Accounting" isn't just another guidebook-it's the key to unlocking the full potential of your financial data. Authored by Hayden van der Post, a seasoned financial expert, this book is your ultimate companion for transforming complex financial tasks into manageable solutions. Dive into the depths of Excel's robust features with easy-to-follow tutorials that take you from the fundamentals of spreadsheet creation to the complexities of financial modeling and data analysis. Whether you're a seasoned accountant or a student grasping the basics of finance, this book caters to all levels with a tailored approach that speaks directly to the needs and challenges of financial professionals. Hayden van der Post brings the program to life with real-world scenarios, offering insider tips on how to navigate the intricate pathways of Excel's formulas and functions. Learn to create compelling, accurate financial reports, budget like a pro, and forecast with precision. Beyond the numbers, this book teaches you how to present data that tells a story, making complex information accessible at a glance. With "Excel for Finance & Accounting" by your side, you'll learn: The secrets to efficient data organization and management. How to perform advanced financial analysis and build sophisticated financial models. Tips for creating visually appealing and informative charts and tables. Techniques to automate repetitive tasks and streamline your workflow. Strategies to safeguard and validate your data to ensure accuracy and reliability. Unlock the power of Excel and gain the competitive edge in your financial career. "Excel for Finance & Accounting" is more than just a book-it's the investment in your professional future that you cannot afford to miss. Embrace the chance to become an Excel wizard in finance and accounting-your journey to financial mastery begins here!

Python for Finance

Author : Yves Hilpisch
Publisher : "O'Reilly Media, Inc."
Page : 720 pages
File Size : 36,55 MB
Release : 2018-12-05
Category : Computers
ISBN : 1492024295

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The financial industry has recently adopted Python at a tremendous rate, with some of the largest investment banks and hedge funds using it to build core trading and risk management systems. Updated for Python 3, the second edition of this hands-on book helps you get started with the language, guiding developers and quantitative analysts through Python libraries and tools for building financial applications and interactive financial analytics. Using practical examples throughout the book, author Yves Hilpisch also shows you how to develop a full-fledged framework for Monte Carlo simulation-based derivatives and risk analytics, based on a large, realistic case study. Much of the book uses interactive IPython Notebooks.

Financial Modeling

Author : Simon Benninga
Publisher : MIT Press
Page : 648 pages
File Size : 35,24 MB
Release : 2000
Category : Business & Economics
ISBN : 9780262024822

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Too often, finance courses stop short of making a connection between textbook finance and the problems of real-world business. "Financial Modeling" bridges this gap between theory and practice by providing a nuts-and-bolts guide to solving common financial problems with spreadsheets. The CD-ROM contains Excel* worksheets and solutions to end-of-chapter exercises. 634 illustrations.

The Wall Street MBA: Your Personal Crash Course in Corporate Finance

Author : Reuben Advani
Publisher : McGraw Hill Professional
Page : 257 pages
File Size : 15,6 MB
Release : 2010-06-03
Category : Business & Economics
ISBN : 0071491813

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Advani, a former investment banker, has an MBA from The Wharton School The author currently runs corporate finance training programs at major law firms including White & Case, Sullivan & Cromwell, and Pepper Hamilton & Sheets

Crisis Economics

Author : Nouriel Roubini
Publisher : Penguin
Page : 368 pages
File Size : 13,75 MB
Release : 2010-05-11
Category : Business & Economics
ISBN : 1101427426

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This myth shattering book reveals the methods Nouriel Roubini used to foretell the current crisis before other economists saw it coming and shows how those methods can help us make sense of the present and prepare for the future. Renowned economist Nouriel Roubini electrified his profession and the larger financial community by predicting the current crisis well in advance of anyone else. Unlike most in his profession who treat economic disasters as freakish once-in-­a-lifetime events without clear cause, Roubini, after decades of careful research around the world, realized that they were both probable and predictable. Armed with an unconventional blend of historical analysis and global economics, Roubini has forced politicians, policy makers, investors, and market watchers to face a long-neglected truth: financial systems are inherently fragile and prone to collapse. Drawing on the parallels from many countries and centuries, Nouriel Roubini and Stephen Mihm, a professor of economic history and a New York Times Magazine writer, show that financial cataclysms are as old and as ubiquitous as capitalism itself. The last two decades alone have witnessed comparable crises in countries as diverse as Mexico, Thailand, Brazil, Pakistan, and Argentina. All of these crises-not to mention the more sweeping cataclysms such as the Great Depression-have much in common with the current downturn. Bringing lessons of earlier episodes to bear on our present predicament, Roubini and Mihm show how we can recognize and grapple with the inherent instability of the global financial system, understand its pressure points, learn from previous episodes of "irrational exuberance," pinpoint the course of global contagion, and plan for our immediate future. Perhaps most important, the authors-considering theories, statistics, and mathematical models with the skepticism that recent history warrants—explain how the world's economy can get out of the mess we're in, and stay out. In Roubini's shadow, economists and investors are increasingly realizing that they can no longer afford to consider crises the black swans of financial history. A vital and timeless book, Crisis Economics proves calamities to be not only predictable but also preventable and, with the right medicine, curable.

The Crash Course

Author : Chris Martenson
Publisher : John Wiley & Sons
Page : 336 pages
File Size : 50,48 MB
Release : 2011-02-14
Category : Business & Economics
ISBN : 1118013123

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The next twenty years will be completely unlike the last twenty years. The world is in economic crisis, and there are no easy fixes to our predicament. Unsustainable trends in the economy, energy, and the environment have finally caught up with us and are converging on a very narrow window of time—the "Twenty-Teens." The Crash Course presents our predicament and illuminates the path ahead, so you can face the coming disruptions and thrive--without fearing the future or retreating into denial. In this book you will find solid facts and grounded reasoning presented in a calm, positive, non-partisan manner. Our money system places impossible demands upon a finite world. Exponentially rising levels of debt, based on assumptions of future economic growth to fund repayment, will shudder to a halt and then reverse. Unfortunately, our financial system does not operate in reverse. The consequences of massive deleveraging will be severe. Oil is essential for economic growth. The reality of dwindling oil supplies is now internationally recognized, yet virtually no developed nations have a Plan B. The economic risks to individuals, companies, and countries are varied and enormous. Best-case, living standards will drop steadily worldwide. Worst-case, systemic financial crises will toss the world into jarring chaos. This book is written for those who are motivated to learn about the root causes of our predicaments, protect themselves and their families, mitigate risks as much as possible, and control what effects they can. With challenge comes opportunity, and The Crash Course offers a positive vision for how to reshape our lives to be more balanced, resilient, and sustainable.