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Financial Analysis and Modeling Using Excel and VBA (Wiley Finance) Paperback – 24 Nov 2009

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Product details

  • Paperback: 784 pages
  • Publisher: John Wiley & Sons; 2nd Revised edition edition (24 Nov. 2009)
  • Language: English
  • ISBN-10: 047027560X
  • ISBN-13: 978-0470275603
  • Product Dimensions: 19.2 x 4.1 x 23.6 cm
  • Average Customer Review: 1.0 out of 5 stars  See all reviews (1 customer review)
  • Amazon Bestsellers Rank: 522,766 in Books (See Top 100 in Books)
  • See Complete Table of Contents

Product Description

From the Back Cover

Praise for the first edition of Financial Analysis and Modeling Using Excel and VBA

"Excel and VBA have vast capabilities, yet until this book, users were on their own to figure out just how to use these tools for both single and complex financial problems. Financial Modeling fills the gaps with practical guidance to modeling a wide range of finance problems."
Tim Koller, Partner, McKinsey & Company, Inc.

Although many people think that financial analysis and financial modeling are different activities, they are actually the two sides of a coin. The skills associated with these disciplines are essential for today′s financial professional as well as students in this field―and Excel and its built–in programming language Visual Basic for Applications (VBA) remain the premier tools for the job.

Financial Analysis and Modeling Using Excel and VBA, Second Edition presents a comprehensive approach to analyzing financial problems and developing simple to sophisticated financial models in all major areas of finance using Excel 2007 and VBA―as well as earlier versions of both―to find solutions.

This expanded and fully updated guide reviews all the necessary financial theory and concepts, and walks you through a wide range of real–world financial problems and models that you can learn from, use for practice, and easily adapt for work and classroom use. A companion website includes several useful modeling tools and fully working versions of all the models discussed in the book.

Written in a straightforward and accessible style, the Second Edition of Financial Analysis and Modeling Using Excel and VBA:

  • Includes detailed coverage of the powerful features of Excel 2007 essential for financial analysis and modeling, such as the Ribbon interface, PivotTables, data analysis,and statistical analysis
  • Teaches financial analysis and modeling, and illustrates advanced features of Excel and VBA, using a learn–by–doing approach
  • Contains comprehensive new chapters on writing formulas that can make decisions, answering what–if questions,finding iterative solutions to problems, and much more

Equally useful to both those who are interested in financial analysis and those who are interested in financial modeling, this reliable resource will help you make the most of Excel and VBA as you navigate the complex terrain of today′s modern financial world.

About the Author

Chandan Sengupta teaches finance in the MBA program at the Fordham University Graduate School of Business, specializing in financial modeling, business valuation, corporate finance, and investment management. Formerly, he was vice president at the Chase Manhattan Bank for eight years and senior financial advisor for Mobil Corporation for ten years. He is also the author of the first edition of this book as well as Financial Modeling Using C++ and The Only Proven Road to Investment Success, all of which are published by Wiley.


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Top Customer Reviews

Format: Paperback Verified Purchase
As long as you don't need to use the CD it's great. Received no CD rom and there is no website (that's a lie on the cover).
Having to meticulously copy out huge excel tables to do simple exercises is not the best use of anyones time.

I strongly recommend you do NOT buy this edition of the book it is certainly not worth the price.
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Most Helpful Customer Reviews on Amazon.com (beta)

Amazon.com: HASH(0x963f71bc) out of 5 stars 15 reviews
5 of 5 people found the following review helpful
HASH(0x955e03b4) out of 5 stars Good section on Fin Stmt modeling 24 Jun. 2008
By DJ - Published on Amazon.com
Format: Paperback
The section on financial stmmt modeling and projections (pro forma) is one of the best out there. It is only a slice of what the book offers but if you are an equity analyst and asked to build models, I would buy this book based on the section it has on forecasting. It is not the end all be all, but a solid effort to supplement your other modeling books.........
6 of 8 people found the following review helpful
HASH(0x95557fe4) out of 5 stars Ok, but a bit simplistic 25 Aug. 2011
By FB - Published on Amazon.com
Format: Paperback
The book is correct for very novice student, but no more. It spends a lot of time explaining very basic facts and ideas (eg. the author justifies at length why learning a programming language, but does not discuss any other language apart from VBA). There are many examples, but they are often mere variations of each others.
HASH(0x95905d74) out of 5 stars Much more indept detal than I expected!!! 1 Jan. 2016
By Sandra L. - Published on Amazon.com
Format: Paperback Verified Purchase
Much more detailed than I expected for the price. I have briefly perused through the 700+ pages. It will also help you understand the computer language Excel is written in. I expected this to be very helpful.
HASH(0x95be148c) out of 5 stars Good book to read to learn excel, excel vba incombination with financial theory and modeling. 19 July 2016
By Patrick Groarke - Published on Amazon.com
Format: Paperback Verified Purchase
This is a very good book that combines financial theory and the use of excel and excel vba as a tool to create models.
HASH(0x955594ec) out of 5 stars Great so far 26 Feb. 2014
By s. holland - Published on Amazon.com
Format: Paperback Verified Purchase
I have learned a little,
little bit more about formulas than I had learned in an excel 2010 formula book.
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