Financial Modeling, 2017th Edition, 9781137426574
Hardcover
This book provides a comprehensive introduction to modern financial modeling using Excel, VBA, standards of financial modeling and model review. It offers guidance on essential modeling concepts around the four core financial activities in the modern financial industry today: financial management;

Financial Modeling, 2017th Edition

an introductory guide to excel and vba applications in finance

$308.95

  • Hardcover

    956 pages

  • Release Date

    27 December 2017

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Summary

This book provides a comprehensive introduction to modern financial modeling using Excel, VBA, standards of financial modeling and model review. It offers guidance on essential modeling concepts around the four core financial activities in the modern financial industry today: financial management; corporate finance; portfolio management and financial derivatives. Written in a highly practical, market focused manner, it gives step-by-step guidance on modeling practical problems in a struct…

Book Details

ISBN-13:9781137426574
ISBN-10:1137426578
Series:Global Financial Markets
Author:Dietmar Ernst, Joachim Häcker
Publisher:Palgrave Macmillan
Imprint:Palgrave Macmillan
Format:Hardcover
Number of Pages:956
Edition:2017th
Release Date:27 December 2017
Weight:1.63kg
Dimensions:235mm x 155mm
About The Author

Dietmar Ernst

Joachim Hacker is Professor of Corporate Finance at Munich University, Germany. He is Director and co-owner of the German Institute of Corporate Finance (GICF) and the European Institute of Financial Engineering and Derivatives (EIFD). Prior to his academic career, Joachim Hacker was a Vice President at Rothschild in the Mergers & Acquisitions department. He holds a PhD in economics and one in law from the University of Tubingen, Germany.

Dietmar Ernst is Professor of International Finance at Nurtingen University, Germany, where he teaches investment banking, corporate finance, valuation and M&A. He is also a Director and co-owner of the German Institute of Corporate Finance (GICF) and the European Institute of Financial Engineering and Derivatives (EIFD). His career spans academia and finance and where he was previously an Investment Manager at Landesbank Baden-Württemberg (LBBW). He holds a PhD in economics from University of Tubingen, Germany, and one in Natural Science from the University of Stuttgart, Germany.

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