10 € off for one product over 60 €. Coupon code
STAR
See more
MIT PRESS LTD

Financial Modeling

€167.45
With code
STAR
€10 off of your first Starcart purchase
hobbyhall
Go to store
This product is not currently buyable with Starcart
You can find millions of other products on Starcart, always at the best price!

Description

"A revision of a leading finance textbook for the advanced undergraduate/Master's market"--
A substantially updated new edition of the essential text on financial modeling, with revised material, new data, and implementations shown in Excel, R, and Python.Financial Modeling has become the gold-standard text in its field, an essential guide for students, researchers, and practitioners that provides the computational tools needed for modeling finance fundamentals. This fifth edition has been substantially updated but maintains the straightforward, hands-on approach, with an optimal mix of explanation and implementation, that made the previous editions so popular. Using detailed Excel spreadsheets, it explains basic and advanced models in the areas of corporate finance, portfolio management, options, and bonds. This new edition offers revised material on valuation, second-order and third-order Greeks for options, value at risk (VaR), Monte Carlo methods, and implementation in R. The examples and implementation use up-to-date and relevant data. Parts I to V cover corporate finance topics, bond and yield curve models, portfolio theory, options and derivatives, and Monte Carlo methods and their implementation in finance. Parts VI and VII treat technical topics, with part VI covering Excel and R issues and part VII (now on the book’s auxiliary website) covering Excel’s programming language, Visual Basic for Applications (VBA), and Python implementations. Knowledge of technical chapters on VBA and R is not necessary for understanding the material in the first five parts. The book is suitable for use in advanced finance classes that emphasize the need to combine modeling skills with a deeper knowledge of the underlying financial models.

Specifications

General
Tuotekoodi
14691263
Kategoria
Talouskirjat
Pakkausten määrä
1 kpl
Pakkauksen koko ja paino (1)
0,03 x 0,18 x 0,23 m, 0,57 kg
Kustantamo
MIT Press Ltd
Kirjan kieli
Englanti
Tyyppi
Taloustiede
Kirja
Ei
Tekijä
Simon Benninga, Tal Mofkadi
Sivujen määrä
992
Julkaisuvuosi
2022
GTIN
9780262046428

Stores

€167.45
Go to store
Availability
Backorder
Delivery time
25-26 days
adlibris
Adlibris
€106.80
Availability
Removed
Starcart may earn a commission when you buy with Starcart or directly from the merchants.

3 reasons to shop with Starcart

Get the lowest prices

Millions of products from various online stores at the best prices, plus additional Starcart benefits.

Buy with a single cart

With Starcart, you can easily make purchases from different online stores using just one shopping cart.

Pay securely

Starcart handles the payments to the stores for you, making your shopping experience safe and secure.