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Financial Modeling 3e +CD Hardcover – 13 February 2008
Purchase options and add-ons
The third edition of this standard text retains the popular "cookbook" features of earlier editions and includes expanded and new coverage of such topics as bank valuation, the Black-Litterman portfolio selection model, Monte Carlo pricing methods, array function, and getting information from the Internet with VBA.
- Print length752 pages
- LanguageEnglish
- PublisherMIT Press
- Publication date13 February 2008
- Dimensions17.78 x 4.45 x 23.5 cm
- ISBN-100262026287
- ISBN-13978-0262026284
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Product details
- Publisher : MIT Press; 3rd edition (13 February 2008)
- Language : English
- Hardcover : 752 pages
- ISBN-10 : 0262026287
- ISBN-13 : 978-0262026284
- Dimensions : 17.78 x 4.45 x 23.5 cm
- Customer Reviews:
About the author

In the last 20 years I have written a series of books on financial modeling. My current books are Financial Modeling (3rd edition, MIT Press, 2008) and Principles of Finance with Excel (2nd edition, Oxford University Press, 2010). Both books integrate Excel with financial problems. It is difficult to exaggerate the importance of Excel for anyone doing finance, whether student or practitioner, but for some reason most finance books either ignore Excel completely or do not instruct the reader in the nuts-and-bolts of Excel implementation of finance problems. Hence my books.
Of the two currently in-print books, Financial Modeling is a more advanced modeling/finance book that includes VBA and some more advanced mathematics (all explained within the confines of the text). FM has become perhaps the standard financial modeling book at universities and among practitioners. It has been translated into Japanese, Chinese, Italian, and Russian.
Principles of Finance with Excel is an introductory text that covers the standard concepts of a "Principles" or "Introductory" finance book while maintaining the integration with Excel. PFE is gaining increasing adoption at universities in introductory finance courses.
I maintain a full website at http://simonbenninga.com that includes materials for instructors using my books in courses.
Customer reviews
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- Mathieu GomesReviewed in France on 20 August 2016
4.0 out of 5 stars Excellent for Excel modeling
Verified PurchaseThis book is definitely one of the best on the subject of financial modeling using MS Excel. The examples are very good and cover many different areas of finance, from the basic cash-flow modeling to more complex stuff such as portfolio optimization or interest rate curve modeling. However, to be fully effective, this book should be used in conjunction with a VBA-centered book as programming is not given sufficient importance in this one. This is why I only give it four stars. Still a great purchase.
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Amazon CustomerReviewed in Spain on 25 May 2012
5.0 out of 5 stars Fantástico manual
Verified PurchaseA pesar del volumen de páginas, se trata de un manual muy completo que abarca todas las áreas prácticas del campo financiero. Lo mejor de todo es su explicación concisa, clara y sus aplicaciones en Excel. Francamente recomendable.
- Miss C LingReviewed in the United Kingdom on 26 September 2012
5.0 out of 5 stars Fantastic!!!
Verified PurchaseI used this book for my finance project and methodology and this book was fantastic at every aspects. It explains step by step how to solve financial modelling queries on excel. Although, it was later discovered that I could have solved this through one of the learning videos on youtube:(
This book is highly recommended to anyone who wants to understand financial modelling and it suitable for any levels.