Introduction to Financial Models for Management and Planning

Introduction to Financial Models for Management and Planning (English, Hardcover, Morris James R.)

Share

Introduction to Financial Models for Management and Planning (English, Hardcover, Morris James R.)

Be the first to Review this product
Special price
₹890
995
10% off
i
Available offers
  • Special PriceGet extra 10% off
    T&C
  • Bank OfferFlat ₹50 off on Flipkart Bajaj Finserv Insta EMI Card. Min Booking Amount: ₹2,500
    T&C
  • Bank Offer5% cashback on Axis Bank Flipkart Debit Card up to ₹750
    T&C
  • Bank Offer5% cashback on Flipkart Axis Bank Credit Card upto ₹4,000 per statement quarter
    T&C
  • Delivery
    Check
    Enter pincode
      Delivery by1 Feb, Sunday
      ?
      if ordered before 12:59 PM
    View Details
    Author
    Read More
    Highlights
    • Language: English
    • Binding: Hardcover
    • Publisher: Taylor & Francis Ltd
    • Genre: Business & Economics
    • ISBN: 9781420090543, 9781420090543
    • Pages: 756
    Services
    • Cash on Delivery available
      ?
    Seller
    BOOKCENTRE
    4.2
    • 7 Days Replacement Policy
      ?
  • See other sellers
  • Description
    A properly structured financial model can provide decision makers with a powerful planning tool that helps them identify the consequences of their decisions before they are put into practice. Introduction to Financial Models for Management and Planning enables professionals and students to learn how to develop and use computer-based models for financial planning. Providing critical tools for the financial toolbox, this volume shows how to use these tools to build successful models. Placing a strong emphasis on the structure of models, the book focuses on developing models that are consistent with the theory of finance and, at the same time, are practical and usable. The authors introduce powerful tools that are imperative to the financial management of the operating business. These include interactive cash budgets and pro forma financial statements that balance even under the most extreme assumptions, valuation techniques, forecasting techniques that range from simple averages to time series methods, Monte Carlo simulation, linear programming, and optimization. The tools of financial modeling can be used to solve the problems of planning the firm's investment and financing decisions. These include evaluating capital projects, planning the financing mix for new investments, capital budgeting under capital constraints, optimal capital structure, cash budgeting, working capital management, mergers and acquisitions, and constructing efficient security portfolios. While the primary emphasis is on models related to corporate financial management, the book also introduces readers to a variety of models related to security markets, stock and bond investments, portfolio management, and options. This authoritative book supplies broad-based coverage and free access to @Risk software for Monte Carlo simulation, making it an indispensible text for professionals and students in financial management. Please contact customer service for access to the software if your copy of the book does not contain this information.
    Read More
    Specifications
    Book Details
    Imprint
    • Chapman & Hall/CRC
    Dimensions
    Height
    • 234 mm
    Length
    • 156 mm
    Weight
    • 1157 gr
    Frequently Bought Together
    Please add at least 1 add-on item to proceed
    Be the first to ask about this product
    Safe and Secure Payments.Easy returns.100% Authentic products.
    You might be interested in
    Psychology Books
    Min. 50% Off
    Shop Now
    Personal Finance Books
    Min. 50% Off
    Shop Now
    Memory Cards
    Min. 50% Off
    Shop Now
    Language And Linguistic Books
    Min. 50% Off
    Shop Now
    Back to top