excelatfinance.com excelatfinance.com - Excel at Finance | financial modeling, analysis and quantitative finance

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Title: Excel at Finance | financial modeling, analysis and quantitative finance
Description:Spreadsheet modelling, analysis, and quantitative finance designed for specialists in Banking, Finance, and Business, brought to you by Ian O'Connor, CPA. We focus on Excel solutions and development - power user - spreadsheet applications and development in research, and in the broader business com...
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Excel at Finance | financial modeling, analysis and quantitative finance Home Login XLF: Maths Refresher W'shops XLF: Spreadsheet Modeling XLF: Treasury management xlf :: Contents About Search & Index Excel at Finance xlf Excel at ... modeling, analysis and quantitative finance Your browser does not support JavaScript! This means that equations, vba code, and other items will not show the correct format. You can activate JavaScript by changing your browser settings. Excel at Finance is a small collection of spreadsheet modelling, analysis, and quantitative finance items for Banking, Finance, and Business. We focus on Excel solutions and development. Excel: useful keyboard shortcuts. xlf Excel at ... quick links xlf Excel at ... accordion content xlf Sample content Black-Scholes: function - for a Call or Put option on non dividend paying stock. Excel version and VBA code. Box cancel button coding - for a Message Box (MsgBox), and an Input box (Application.Inputbox method). Exponents: rules - a summary of the rules of exponents. Includes examples with HP 12C keystrokes. How To - xlf Spreadsheet Modeling How To - video introduction. Merton model of risky debt - equity value and the probability of default on debt payments. Debt valuation and implied credit spreads. Reconciles the equations of Saunders and Allan (2002) and Hull, Nelken and White (2004). Monte Carlo: function - why does my Monte Carlo based option pricing function show two different values in the function arguments dialog box? Option delta: function - function OptDelta returns the delta for European option on a non dividend paying stock. Includes overview, VBA code module plus graphics. Percentage arguments: function - a UDF with percentage arguments called from Excel and VBA. xlf References: Excel Finance, and VBA Finance Alexander M, and R Kusleika (2016), Excel 2016 Power Programming with VBA, Wiley Allman K, (2008), Reverse Engineering Deals on Wall Street with Microsoft Excel: A Step-by-Step Guide, Wiley Finance Allman K, Laurito J, and M Loh, (2011), Financial Simulation Modeling in Excel: A Step-by-Step Guide, Wiley Finance Benninga S,(2014), Financial Modeling, 4th ed., MIT Press Charnes J, (2012), Financial Modeling with Oracle Crystal Ball and Excel, 2nd ed., Wiley Finance Dalton S, (2007), Financial Applications Using Excel Add-In Development in C/C++, 2nd ed, Wiley Finance Darbyshire P, and D Hampton, (2012), Hedge Fund Modelling and Analysis using Excel and VBA, Wiley Finance Davison, (2014), Quantitative Finance: A Simulation-Based Introduction Using Excel, CRC Press Dumrauf G, (2013), Bonds: A Step by Step Analysis with Excel, Amazon Fairhurst D, (2012), Using Excel for Business Analysis: A Guide to Financial Modelling Fundamentals, Wiley Finance Gottlieb I, (2013), Next Generation Excel: Modeling in Microsoft Excel for Analysts and MBAs, 2nd ed., Wiley Finance Heiberger R, and E Neuwirth, (2009), R Through Excel, Springer Holden C.W and S Venit (2014), Excel Modeling in Corporate Finance, Pearson Jelen B, (2016), Excel 2016 in Depth, Que Publishing. Content Update Program Jelen B, and M Alexander (2016), Excel 2016 Pivot Table Data Crunching, Que Publishing. Content Update Program Jelen B, and D K Dowell (2007), Excel for Auditors, Holy Macro! Books Jelen B, and T Syrstad (2015), Excel 2016 VBA and Macros, Que Publishing. Content Update Program Korol J, (2016), Microsoft Excel 2016 Programming Pocket Primer, Mercury Mayes T.R,, (2014), Financial Analysis with Microsoft Excel, Cengage Learning McDonnell P, (2010), Optimal Portfolio Modeling: Models to Maximize Returns and Control Risk in Excel and R, Wiley Trading Meissner G, (2013), Correlation Risk Modeling and Management: An Applied Guide including the Basel III Correlation Framework - with Interactive Models in Excel/VBA, Wiley Finance Miller M, (2013), Mathematics & Statistics for Financial Risk Management, 2nd ed., Wiley Finance Owen G, (2016), Using Microsoft Excel and Access 2016 for Accounting , Cengage Learning Pignataro P, (2013), Financial Modeling & Valuation: A Practical Guide to Investment Banking and Private Equity, Wiley Finance Proctor, S, (2008), Building Financial Models with Microsoft Excel: A Guide for Business Professionals, Wiley Finance Rouah F, and G Vainberg, (2007), Option Pricing Models & Volatility, Wiley Finance Samonas M, (2015), Financial Forecasting, Analysis and Modelling: A Framework for Long-Term Forecasting, Wiley Finance Sawyer T, (2009), Pro Excel Financial Modeling: Building Models for Technology Startups, Apress Smith D, and P Winchie, (2011), Cash CDO Modelling in Excel: A Step by Step Approach, Wiley Finance Syrstad, (2015), My Excel 2016, Que Publishing Tung H, Lai D, and M Wong, (2011), Professional Financial Computing Using Excel & VBA, Wiley Finance Walkenbach J, (2015), Microsoft Excel 2016 Bible: The Comprehensive Tutorial Resource, Wiley Walkenbach J, (2013), Microsoft Excel 2013 Power programming with VBA, Wiley Winston W, (2013), Microsoft Excel 2013 Data Analysis and Business Modeling, Wiley Maintained by: Dr Ian O'Connor, CPA. - located in Victoria, Australia. Revised: Saturday 25th of March 2017 - 06:02 AM, [Australian Eastern Time (AET)] LastMod: [2017-03-25EST06:02:46+11:00] Copyright ? 2011 – 2017 ? Dr Ian O'Connor, CPA, SA Fin. | Privacy policy Comment & Reply policy

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