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Principles of Financial Modelling - (Wiley Finance) by Michael Rees (Hardcover)

Principles of Financial Modelling - (Wiley Finance) by  Michael Rees (Hardcover) - 1 of 1
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Highlights

  • The comprehensive, broadly-applicable, real-world guide to financial modelling Principles of Financial Modelling - Model Design and Best Practices Using Excel and VBAcovers the full spectrum of financial modelling tools and techniques in order to provide practical skills that are grounded in real-world applications.
  • About the Author: MICHAEL REES, D.PHIL., MBA, operates globally to help senior executives to solve their most complex problems in the areas of decision support, business strategy, value-creation, risk assessment, and optimisation.
  • 544 Pages
  • Business + Money Management, Finance
  • Series Name: Wiley Finance

Description



Book Synopsis



The comprehensive, broadly-applicable, real-world guide to financial modelling

Principles of Financial Modelling - Model Design and Best Practices Using Excel and VBAcovers the full spectrum of financial modelling tools and techniques in order to provide practical skills that are grounded in real-world applications. Based on rigorously-tested materials created for consulting projects and for training courses, this book demonstrates how to plan, design and build financial models that are flexible, robust, transparent, and highly applicable to a wide range of planning, forecasting and decision-support contexts. This book integrates theory and practice to provide a high-value resource for anyone wanting to gain a practical understanding of this complex and nuanced topic. Highlights of its content include extensive coverage of:

  • Model design and best practices, including the optimisation of data structures and layout, maximising transparency, balancing complexity with flexibility, dealing with circularity, model audit and error-checking
  • Sensitivity and scenario analysis, simulation, and optimisation
  • Data manipulation and analysis
  • The use and choice of Excel functions and functionality, including advanced functions and those from all categories, as well as of VBA and its key areas of application within financial modelling

The companion website provides approximately 235 Excel files (screen-clips of most of which are shown in the text), which demonstrate key principles in modelling, as well as providing many examples of the use of Excel functions and VBA macros. These facilitate learning and have a strong emphasis on practical solutions and direct real-world application.

For practical instruction, robust technique and clear presentation, Principles of Financial Modelling is the premier guide to real-world financial modelling from the ground up. It provides clear instruction applicable across sectors, settings and countries, and is presented in a well-structured and highly-developed format that is accessible to people with different backgrounds.



From the Back Cover



Principles of Financial Modelling covers the full spectrum of financial modelling tools and techniques, which are drawn from the author's years of experience in dealing with a wide variety of real-world applications, both from consulting projects and from conducting training courses. The book demonstrates how to plan, design and build financial models that are flexible, robust, and transparent, and which are applicable to many decision-support contexts, including forecasting, business planning, project evaluation and selection, portfolio optimisation, and resource allocation.

The book includes extensive coverage of:

  • Model design and best practices, including the optimisation of data structures and layout, maximising transparency, balancing complexity with flexibility, dealing with circularity, model audit and error-checking
  • Sensitivity and scenario analysis, simulation, and optimisation
  • Data manipulation and analysis

Principles of Financial Modelling also provides practical examples of the use of most Excel functions, and an in-depth treatment of VBA and its key areas of application within financial modelling, including the automation of many tasks to improve efficiency in areas such as data analysis and manipulation, simulation, and user-defined functions.



About the Author



MICHAEL REES, D.PHIL., MBA, operates globally to help senior executives to solve their most complex problems in the areas of decision support, business strategy, value-creation, risk assessment, and optimisation. He combines practical experience from top firms with an exceptional analytic record, and is among the world's leading authors and instructors in the field of financial and risk modelling. His special interest is in cases where issues in strategy, business economics, and valuation are best addressed using practical advanced quantitative approaches.

He has a Doctorate in Mathematical Modelling and Numerical Algorithms, and a B.A. with First Class Honours in Mathematics, both from Oxford University in the UK. He has an MBA with distinction from INSEAD in France. He also studied for the Certificate of Quantitative Finance, graduating top of the class for course work, and receiving the Wilmott Award for the highest final exam mark.

He has approximately 30 years' business and finance experience, in many sectors, including oil, gas, energy and resources, private equity, health care, biotechnology, chemicals, construction, engineering, and insurance.

Dimensions (Overall): 9.8 Inches (H) x 6.9 Inches (W) x 1.4 Inches (D)
Weight: 2.46 Pounds
Suggested Age: 22 Years and Up
Number of Pages: 544
Genre: Business + Money Management
Sub-Genre: Finance
Series Title: Wiley Finance
Publisher: Wiley
Format: Hardcover
Author: Michael Rees
Language: English
Street Date: July 18, 2018
TCIN: 85277181
UPC: 9781118904015
Item Number (DPCI): 247-69-0932
Origin: Made in the USA or Imported
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Shipping details

Estimated ship dimensions: 1.4 inches length x 6.9 inches width x 9.8 inches height
Estimated ship weight: 2.46 pounds
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