A comprehensive book on learning financial management and dealing with risk and uncertainties using models built on excel worksheets the book aims on concepts, theory & practices of finance and further expanding its application to excel worksheets. modelling primarily cover simple sheets and data, which are added up to sophisticated models, which has the flexibility for changes. each topic is explained with the help of fully explained graphs and exhibits. at the end of each chapter there are problems based on concept discussed on the topic. number of illustrative examples are incorporated. these are solved by the basic concepts of financial management and further solved on excel worksheets. besides there are number of problems on financial decisions. there are more than 118 exhibits and diagrams to explain the models and concepts with number of unsolved questions at the end of each chapter. 9 situation - based case studies and analytical data about the market are incorporated. case studies have been updated with financial data. about the cd excel files - this folder contains all the spreadsheets, which are used across all the chapters, this helps the learner to associate with the exhibits in the book and speeds up the learning process. user can substitute his/her own data to check the desired result, like calculating emi, effective interest rate, retirement planning calculation etc. power point slides - these slides can be used by the instructor for making presentation and for the students to resive the key concepts in the chapter. case studies data - this folder contains the soft copy of data for all the case studies in the text.
|Author||RUZBEH J BODHANWALA|
|Publisher||TAXMANN PUBLICATIONS PVT. LTD.|
|Publication Year||3RD EDITION; 2009|
|Number of pages||440|