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Advanced Financial Modeling in Excel. Fin Model Excel, #2

Par : Sankar Srinivasan
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Disponible dans votre compte client Decitre ou Furet du Nord dès validation de votre commande. Le format ePub protégé est :
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  • FormatePub
  • ISBN8233041419
  • EAN9798233041419
  • Date de parution01/04/2026
  • Protection num.Adobe DRM
  • Infos supplémentairesepub
  • ÉditeurLinda Balsamo

Résumé

Advanced Financial Modeling in Excel; LBO, M&A & Scenario Analysis for Investment Banking, Private Equity & Corporate Finance. Build Leveraged Buyout Models, Accretion/Dilution Analysis & Dynamic Scenarios with Step-by-Step Tutorials, Templates & Real-World Deal ExamplesDownload Free LBO Deal Analyzer - Excel Model | IRR, MOIC & Leveraged Buyout Returns Calculator, with this book. Model Deals Like a Professional - Not a StudentYou've built basic financial models.
Now comes the part where most people get stuck. Leveraged buyouts. Mergers. Complex deal structures. And Excel models that don't break the moment assumptions change. This workbook is built for that exact stage. What Makes This Book Different?Most financial modeling books stop at theory. Some show formulas. Very few show how real deals are actually structured. This one does. You'll build models the way professionals do in: Investment banking Private equity Corporate development Step by step.
Without fluff. Without confusion. Inside This Advanced Workbook:? Complete LBO Modeling FrameworkBuild leveraged buyout models with debt schedules, cash sweeps, and IRR calculations? M&A Accretion/Dilution AnalysisUnderstand deal impact, synergies, and pro forma financials? Scenario & Sensitivity AnalysisCreate flexible models that adapt to changing assumptions? Dynamic Excel StructuresAvoid broken models with clean architecture and logic flows? Professional Formatting StandardsMake your models readable, auditable, and presentation-ready? Real-World Deal ThinkingLearn how analysts actually approach transactionsWhat You'll Learn: Structure multi-layered LBO models Calculate private equity returns and exit scenarios Build accretion/dilution models from scratch Analyze deal synergies and integration impacts Create sensitivity tables and scenario dashboards Design flexible and scalable Excel models Avoid common modeling mistakes that kill credibility Who This Book Is For: Investment banking analysts and associates Private equity and venture capital professionals Corporate finance and strategy teams MBA students preparing for finance roles CFA candidates needing practical modeling skills Why This MattersKnowing formulas is easy.
Building models that survive real-world complexity?That's what gets you hired. Promoted. Trusted. This book helps you cross that gap.
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