| PART I--EXCEL: SETTING THE STAGE
Chapter 1--Making and Using Spreadsheets
Chapter 2--Bringing Data into Excel PART II--WORKING WITH ACCOUNTING STATEMENTS Chapter 3--Making and Getting Accounting Statements
Chapter 4--Ratio Analysis PART III--TIME VALUE OF MONEY Chapter 5--Calculating Present and Future Values
Chapter 6--Compounding and Interest Rate Conversion
Chapter 7--Loan Amortization and Payment Composition PART IV--VALUING SIMPLE FINANCIAL ASSETS Chapter 8--Valuing Bonds
Chapter 9--Valuing Stocks PART V--CAPITAL BUDGETING DECISION RULES Chapter 10--Net Present Value
Chapter 11--Other Capital Budgeting Decision Rules PART VI--PART V – RISK, RETURN AND THE COST OF CAPITAL Chapter 12--Measuring Risk and Return
Chapter 13--Calculating Beta
Chapter 14--Analyzing the Security Market Line
Chapter 15--Weighted Average Cost of Capital PART VII--CASH FLOW ANALYSIS AND ESTIMATION Chapter 16--Estimating Future Cash Flows: Pro Forma Analysis
Chapter 17--Scenario Analysis and Sensitivity Analysis PART VIII--ADVANCED TOPICS IN CORPORATE FINANCE Chapter 18--Option Valuation in Corporate Finance
Chapter 19--International Corporate Finance
|