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Wednesday, April 15, 2020 | History

6 edition of Excel Modeling in Investments Book and CD-ROM (2nd Edition) found in the catalog.

Excel Modeling in Investments Book and CD-ROM (2nd Edition)

  • 218 Want to read
  • 26 Currently reading

Published by Prentice Hall .
Written in English


ID Numbers
Open LibraryOL7337226M
ISBN 100131611372
ISBN 109780131611375
OCLC/WorldCa149124029


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Excel Modeling in Investments Book and CD-ROM (2nd Edition) by Craig W. Holden Download PDF EPUB FB2

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Are you an author. Learn about Author Central Cited by: 3. Find helpful customer reviews and review ratings for Excel Modeling in Investments Book and CD-ROM (2nd Edition) at Read honest and unbiased product reviews from our /5(4).

Excel Modeling in Investments is a supplemental book and CD. It teaches students how to build step-by-step financial models in Excel.

This supplement is intended to accompany any graduate investments textbook, including Prentice Hall and non-Prentice Hall textbooks such as Bodie, Francis, Haugen, Jones, Reilly, and Sharpe. Excel Modeling in Investments. This book with accompanying CD-ROM gives readers the necessary information and skills they'll need to build step-by-step financial models in Excel.

Updated coverage keeps this book current and relevant, and practical, real-world examples provide exciting learning opportunities.

Brand new Book. For courses in corporate finance or financial management at the undergraduate and graduate level. Excel Modeling in Investments, Fifth Edition approaches building and estimating models with Microsoft (R) Excel (R).

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Excel Modeling in Investments focuses on active learning by showing readers how to build and estimate financial models using Excel. This approach shows the steps involved in building models, rather than solely providing readers with completed spreadsheets.

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Financial Analysis and Modeling Using Excel and VBA, Second Edition presents a comprehensive approach to analyzing financial problems and developing simple to sophisticated financial models in all major areas of finance using Excel and VBA (as well as earlier versions of both).

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The book assumes only basic knowledge of Excel and teaches all advanced features of Excel and VBA from scratch using a unique simple method. A companion CD includes all working versions of all the models presented in the book and additional useful reference : Chandan Sengupta.

Book Description. An updated look at the theory and practice of financial analysis and modeling. Financial Analysis and Modeling Using Excel and VBA, Second Edition presents a comprehensive approach to analyzing financial problems and developing simple to sophisticated financial models in all major areas of finance using Excel and VBA (as well as earlier.

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Optimal Portfolio Modeling is an easily accessible introduction to portfolio modeling for those who prefer an intuitive approach to this discipline. While early chapters provide engaging insights on the statistical properties of markets, this book quickly moves on to illustrate invaluable trading and risk control models based on popular programs such as Excel and the statistical modeling.

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