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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.

Table of Contents

  1. Cover
  2. Half Title
  3. Title Page
  4. Copyright Page
  5. Contents
  6. List of figures
  7. List of tables
  8. PART I Excel
    1. 1 Getting started
    2. 2 Formulas and functions
    3. 3 Charts and tables
    4. 4 What-if analysis
    5. 5 Data analysis
  9. PART II Basic finance
    1. 6 Time value of money
    2. 7 Investments
    3. 8 Risk and portfolio models
  10. PART III Valuation
    1. 9 Valuation of investments and projects
    2. 10 Real estate
    3. 11 Bonds
    4. 12 Stocks
    5. 13 Options
  11. PART IV Simulations
    1. 14 Monte Carlo simulations
  12. PART V VBA
    1. 15 Visual Basic for applications
    2. 16 Programming in VBA
    3. 17 Control structures
    4. 18 Working with VBA
    5. 19 Procedures
    6. 20 Arrays
    7. 21 UserForms
  13. Index