Financial Modeling And Valuation: A Practical Guide To Investment Banking And Private Equity
Financial Modeling And Valuation: A Practical Guide To Investment Banking And Private Equity
Financial Modeling And Valuation: A Practical Guide To Investment Banking And Private Equity

Financial Modeling And Valuation: A Practical Guide To Investment Banking And Private Equity

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Written By The Founder And Ceo Of The Prestigious New York School Of Finance, This Book Schools You In The Fundamental Tools For Accurately Assessing The Soundness Of A Stock Investment. Built Around A Fulllength Case Study Of Walmart, It Shows You How To Perform An Indepth Analysis Of That Company'S Financial Standing, Walking You Through All The Steps Of Developing A Sophisticated Financial Model As Done By Professional Wall Street Analysts. You Will Construct A Full Scale Financial Model And Valuation Stepbystep As You Page Through The Book.When We Ran This Analysis In January Of 2012, We Estimated The Stock Was Undervalued. Since The First Run Of The Analysis, The Stock Has Increased 35 Percent. Reevaluating Walmart 9Months Later, We Will Step Through The Techniques Utilized By Wall Street Analysts To Build Models On And Properly Value Business Entities. Stepbystep Financial Modeling Taught Using Downloadable Wall Street Models, You Will Construct The Model Step By Step As You Page Through The Book. Hot Keys And Explicit Excel Instructions Aid Even The Novice Excel Modeler. Model Built Complete With Income Statement, Cash Flow Statement, Balance Sheet, Balance Sheet Balancing Techniques, Depreciation Schedule (Complete With Accelerating Depreciation And Deferring Taxes), Working Capital Schedule, Debt Schedule, Handling Circular References, And Automatic Debt Pay Downs. Illustrative Concepts Including Detailing Model Flows Help Aid In Conceptual Understanding. Concepts Are Reiterated And Honed, Perfect For A Novice Yet Detailed Enough For A Professional. Model Built Direct From Walmart Public Filings, Searching Through Notes, Performing Research, And Illustrating Techniques To Formulate Projections. Includes Indepth Coverage Of Valuation Techniques Commonly Used By Wall Street Professionals. Illustrative Comparable Company Analyses Built The Right Way, Direct From Historical Financials, Calculating Ltm (Last Twelve Month) Data, Calendarization, And Properly Smoothing Ebitda And Net Income. Precedent Transactions Analysis Detailing How To Extract Proper Metrics From Relevant Proxy Statements Discounted Cash Flow Analysis Simplifying And Illustrating How A Dcf Is Utilized, How Unlevered Free Cash Flow Is Derived, And The Meaning Of Weighted Average Cost Of Capital (Wacc) Stepbystep We Will Come Up With A Valuation On Walmart Chapter End Questions, Practice Models, Additional Case Studies And Common Interview Questions (Found In The Companion Website) Help Solidify The Techniques Honed In The Book; Ideal For Universities Or Business Students Looking To Break Into The Investment Banking Field.

⚠️ WARNING (California Proposition 65):

This product may contain chemicals known to the State of California to cause cancer, birth defects, or other reproductive harm.

For more information, please visit www.P65Warnings.ca.gov.

  • Q: How many pages does this book have? A: This book has four hundred nine pages. It provides comprehensive coverage of financial modeling and valuation techniques.
  • Q: What is the size of the book? A: The book measures six and a half inches in length, one point four two inches in width, and nine point three inches in height.
  • Q: What type of binding does this book have? A: This book is bound in hardcover. This ensures durability and a professional appearance, suitable for academic and professional use.
  • Q: Is this book suitable for beginners? A: Yes, this book is suitable for beginners. It covers fundamental concepts and includes step-by-step instructions for financial modeling.
  • Q: Can I use this book for self-study? A: Yes, this book is an excellent resource for self-study. It includes practice models and end-of-chapter questions to reinforce learning.
  • Q: What is the reading level of this book? A: This book is aimed at university students and professionals. It is detailed enough for experienced users while being accessible for novices.
  • Q: How should I care for this book? A: To care for this book, store it upright and avoid exposure to moisture. Handle it gently to maintain its condition.
  • Q: Can I clean the book if it gets dirty? A: Yes, you can clean the book's cover with a dry cloth. Avoid using water or cleaning solutions that could damage the binding.
  • Q: Is this book safe to use around children? A: Yes, the book contains no hazardous materials. However, it is recommended for adult readers or university students.
  • Q: What should I do if the book arrives damaged? A: If the book arrives damaged, contact the retailer for a return or replacement. Most retailers have customer service options to assist with issues.
  • Q: Does this book come with any additional resources? A: Yes, the book includes access to a companion website with additional case studies and common interview questions.
  • Q: What kind of financial modeling techniques does the book cover? A: The book covers various financial modeling techniques, including discounted cash flow analysis, comparable company analysis, and precedent transactions analysis.
  • Q: Is this book relevant for investment banking? A: Yes, this book is highly relevant for investment banking. It provides practical guidance on valuation techniques used by professionals.
  • Q: Who is the author of this book? A: The author of this book is Paul Pignataro. He is the Founder and CEO of the New York School of Finance.
  • Q: What is the main focus of this book? A: The main focus of this book is to teach readers the tools for assessing stock investments and building financial models.

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