The Second Edition takes an active approach in showing readers how to build financial models in Excel. Designed to help readers hone their modeling skills, this book and CD provide a hands-on, practical mode of learning that includes step-by-step instructions and real world applications. Rarely covered content items are explored, such as realistic life-cycle financial planning, U.S. yield curve dynamics, portfolio optimization with many assets, and solving for implied volatilities from real data. For professionals with a career in corporate finance, investments, and/or banking.
- ISBN10 0131424130
- ISBN13 9780131424135
- Publish Date 16 August 2004
- Publish Status Out of Print
- Out of Print 15 March 2021
- Publish Country US
- Imprint Pearson
- Edition 2nd edition
- Format Paperback
- Pages 168
- Language English