The Oxford Guide to Financial Modeling : Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions

The Oxford Guide to Financial Modeling : Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions

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The essential premise of this book is that theory and practice are equally important in describing financial modeling. In it the authors try to strike a balance in their discussions between theories that provide foundations for financial models and the institutional details that provide the context for applications of the models. The book presents the financial models of stock and bond options, exotic options, investment grade and high-yield bonds, convertible bonds, mortgage-backed securities, liabilities of financial institutions -- the business model and the corporate model. It also describes the applications of the models to corporate finance. Furthermore, it relates the models to financial statements, risk management for an enterprise, and asset/liability management with illiquid instruments. The financial models are progressively presented from option pricing in the securities markets to firm valuation in corporate finance, following a format to emphasize the three aspects of a model: the set of assumptions, the model specification, and the model applications. Generally, financial modeling books segment the world of finance as qinvestments, q qfinancial institutions, q qcorporate finance, q and qsecurities analysis, q and in so doing they rarely emphasize the relationships between the subjects. This unique book successfully ties the thought processes and applications of the financial models together and describes them as one process that provides business solutions. Created as a companion website to the book readers can visit www.thomasho.com to gain deeper understanding of the book's financial models. Interested readers can build and test the models described in the book using Excel, and they can submit their models to the site. Readers can also use the site's forum to discuss the models and can browse server based models to gain insights into the applications of the models. For those using the book in meetings or class settings the site provides Power Point descriptions of the chapters. Students can use available question banks on the chapters for studying.Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions Thomas S. Y. Ho President Thomas Ho ... Finally, risk management would not be complete if no actions were taken to manage the risk exposure.


Title:The Oxford Guide to Financial Modeling : Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions
Author: Thomas S. Y. Ho President Thomas Ho Company, Sang Bin Lee Professor of Finance Hanyang University
Publisher:Oxford University Press, USA - 2003-12-19
ISBN-13:

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