Xem 1-20 trên 89 kết quả Finance tools
  • For nearly 20 years, since the emergence of PCs, Lotus 1-2-3, and Microsoft Excel in the 1980’s, spreadsheet models have been the dominant vehicles for finance professionals in the business world to implement their financial knowledge. Yet even today, most Corporate Finance textbooks rely on calculators as the primary tool and have little (if any) coverage of how to build spreadsheet models. This book fills that gap. It teaches students how to build financial models in Excel.

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  • The purpose of this book is to provide an introduction to financial decisionmaking, and the framework in which these decisions are made. The Basics of Finance is an accessible book for those who want to gain a better understanding of this field, but lack a strong business background. In this book, we cover the essential concepts, tools, methods, and strategies in finance without delving too far into theory.

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  • Some 20 years ago, after years of teaching corporate finance and writing related textbooks and casebooks, I began teaching healthcare financial management in the University of Florida’s Master of Health Administration (MHA) program. The move prompted me to write my first healthcare finance textbook, Understanding Health Care Financial Management. The book was designed for use in health services administration financial management courses in which students had prerequisite courses in both accounting and corporate finance.

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  • Let me begin this preface with a confession of a few of my own biases. First, I believe that theory, and the models that flow from it, should provide us with the tools to understand, analyze and solve problems. The test of a model or theory then should not be based upon its elegance but upon its usefulness in problem solving. Second, there is little in corporate financial theory, in my view, that is new and revolutionary. The core principles of corporate finance are common sense ones, and have changed little over time....

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  • Basic principles underlying the transactions of financial markets are tied to probability and statistics. Accordingly it is natural that books devoted to mathematical finance are dominated by stochastic methods. Only in recent years, spurred by the enormous economical success of financial derivatives, a need for sophisticated computational technology has developed. For example, to price an American put, quantitative analysts have asked for the numerical solution of a free-boundary partial differential equation.

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  • This book is designed for students and researchers who want to develop professional skill in modern quantitative applications in nance. The Center for Applied Statistics and Economics (CASE) course at Humboldt-Universitat zu Berlin that forms the basis for this book is o ered to interested students who have had some experience with probability, statistics and software applications but have not had advanced courses in mathematical nance.

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  • The binomial asset pricing model provides a powerful tool to understand arbitrage pricing theory and probability theory. In this course, we shall use it for both these purposes. In the binomial asset pricing model, we model stock prices in discrete time, assuming that at each step, the stock price will change to one of two possible values. Let us begin with an initial positive stock price S0. There are two positive numbers, d and u, with 0

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  • Nhằm giúp các bạn chuyên ngành Tài chính ngân hàng có thêm tài liệu tham khảo trong quá trình học tập và ôn thi, mời các bạn cùng tham khảo nội dung tài liệu "Chapter 27: The basic tools of finance" dưới đây. Nội dung tài liệu bao gồm những câu hỏi bài tập về công cụ cơ bản của tài chính. Hy vọng tài liệu sẽ giúp các bạn tự tin hơn trong kỳ thi sắp tới.

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  • Chapter 10 - Mergers and acquisitions. The topics discussed in this chapter are: Mergers and acquisitions (M&A) are complex, involving many parties, mergers and acquisitions involve many issues and M&A analysis requires the application of valuation tools to evaluate the M&A decision.

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  • Chapter 4 - Applying the time value of money to security valuation. Use the tools of financial mathematics to value debt and equity securities, apply the dividend growth model to value ordinary shares, explain the main differences between the valuation of ordinary shares based on dividends and earnings,...

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  • Social funds are expanding in all parts of the developing world. The attractive feature of social funds is that they use the comparative strengths of each of the government, private sector, and community organization partners and coalesce them into an integrated whole. The communities identify, design, and help implement projects such as schools, health clinics, roads, and water supply that will serve their needs. The govern- ment provides financing, monitors and supervises the projects, and en- sures that the operation and maintenance of these facilities is adequate.

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  • Financial Analysis Tools and Techniques, a business-focused revision of Erich Helfert's perennial college bestseller Techniques of Financial Analysis, is a quick, easy read for nonfinancial managers and an excellent refresher and reference for finance professionals. This practical, hands-on guide provides a new introductory chapter that gives context to today's valuation turmoil and helps professionals understand the economic drivers of a business and the importance of cash flow.

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  • The term ìspreadsheetî covers a wide variety of elements useful for quantitative analysis of all kinds. Essentially, a spreadsheet is a simple tool consisting of a matrix of cells that can store numbers, text, or formulas. The spreadsheetís power comes from its ability to recalculate results as you change the contents of other cells. No longer does the user need to do these calculations by hand or on a calculator.

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  • A book like this results only from the contributions of many talented people. We would like to thank the chapter authors that make up this book for their clear and informative explanations of the powerful concepts and tools of fi- nance and accounting. In this world of technology and the Internet, while most of the underlying concepts remain fixed, the applications are ever changing, requiring the authors to constantly rededicate themselves to their professions.

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  • No matter what area of finance you’re interested in–financial management, investments, or financial institutions–Financial Management and Analysis, Second Edition provides the foundations of finance that will allow you to understand financial decision-making and its role in the decision-making process of the entire firm. Crisp writing and focused content clearly ties theory and practice together in one complete package.

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  • The Vest Pocket CFO is the perfect up-to-date reference tool for today's busy CFO, controller, treasurer, and other finance professionals. Written in an easy Q&A format and packed with checklists, samples, and worked-out solutions for a wide variety of accounting and finance problems, readers can take this handy reference wherever they go-on a business trip, visiting a client, conducting a conference call, or attending a meeting..

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  • Streetsmart Guide to Valuing a Stock is a how-to book that provides you with the tools to make money in the stock market. The book’s fo- cus is on stock valuation—an area of great interest to many investors, but understood by very few.

    pdf290p duypha 16-07-2009 139 49   Download

  • The binomial asset pricing model provides a powerful tool to understand arbitrage pricing theory and probability theory. In this course, we shall use it for both these purposes.

    pdf0p bahoang 08-03-2009 102 47   Download

  • Tools that help us determine the financial health of a company. We can compare a company’s financial ratios with its ratios in previous years (trend analysis). We can compare a company’s financial ratios with those of its industry. Do we have enough liquid assets to meet approaching obligations ?If the average current ratio for the industry is 2.4, is this good or not?

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  • Finance has become one of the most important and popular subjects in management school today. This subject has progressed tremendously in the last forty years, integrating models and ideas from other areas such as physics, statistics, and accounting. The financial markets have also rap- idly expanded and changed extensively with improved technology and the ever changing regulatory and social environment.

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