Financial modeling
Publication details: MIT Press, 2014 Cambridge:Edition: 4th edDescription: xxiv; 1111p. hb; 24 cmISBN:- 9780262027281
- 332.015118 BEN
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IIT Gandhinagar General Stacks | 332.015118 BEN (Browse shelf(Opens below)) | 1 | Available | 028490 |
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331.137042 FOR Rise of the robots: technology and the threat of mass unemployment | 331.4 FER Women and work: feminism, labour, and social reproduction | 331.4133 HIR Main-streaming unpaid work | 332.015118 BEN Financial modeling | 332.024010865 ZEL Purchase of intimacy | 332.11092 MAL Man who knew: the life and times of Alan Greenspan | 332.12092 YUN Banker to the poor: the story of the Grameen Bank |
This book is the standard text for explaining the implementation of financial models in Excel. As in previous editions, this fourth edition maintains the "cookbook" features and Excel dependence; it explains basic and advanced models in the areas of corporate finance, portfolio management, options, and bonds with detailed Excel spreadsheets. It also includes: a new section explaining the principles of Monte Carlo methods and their application to portfolio management and exotic option valuation; a new chapter discussing term structure modeling, with special emphasis on the Nelson-Siegel model; and a discussion of corporate valuation using pro forma models with the introduction of a new, simple model for corporate valuation based on accounting data and a minimal number of valuation parameters.
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