Udemy - Theory of Financial Modeling - Valuation and Forecasting

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Udemy - Theory of Financial Modeling - Valuation and Forecasting (Size: 2 GB)
  1 -Foundations of Valuation.mp4 83.9 MB
  1 -Hello.mp4 10.7 MB
  1 -Revenue Forecasting Approaches.mp4 115.2 MB
  1 -Summary and Next Steps.mp4 25.4 MB
  1 -What Is Financial Modeling.mp4 17.8 MB
  2 -Core Financial Statements.mp4 103.1 MB
  2 -Discounted Cash Flow (DCF) Methodology.mp4 71.2 MB
  2 -Expense and Cost Projections.mp4 82 MB
  3 -Free Cash Flow to Firm vs. Equity.mp4 121.7 MB
  3 -Linking and Integrating Statements.mp4 81.9 MB
  3 -Working Capital Forecasting.mp4 84.6 MB
  4 -Capital Expenditure and Depreciation.mp4 74.3 MB
  4 -Cost of Capital and WACC.mp4 100.9 MB
  4 -Model Structure and Design Principles.mp4 81.4 MB
  5 -Financing Assumptions Debt & Equity.mp4 85.9 MB
  5 -Identifying Key Assumptions and Drivers.mp4 75.3 MB
  5 -Terminal Value Calculation Methods.mp4 132.3 MB
  6 -Cash Flow Forecasting and Integration.mp4 88 MB
  6 -Relative Valuation and Multiples.mp4 42.5 MB
  6 -Time Value of Money and Discounting.mp4 138.2 MB
  7 -Adjustments for Debt, Cash and Non-operating Items.mp4 88 MB
  7 -Risk, Uncertainty and Sensitivity.mp4 84.4 MB
  7 -Scenario Planning and Stress Testing.mp4 113.3 MB
  8 -Common Pitfalls and Model Audit.mp4 85 MB
  8 -Data Gathering and Validation.mp4 84.3 MB
  Bonus Resources.txt 102.4 B
  Get Bonus Downloads Here.url 204.8 B
  ▲ 27 total files

Description


Theory of Financial Modeling: Valuation & Forecasting

https://WebToolTip.com

Published 5/2025
MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz, 2 Ch
Language: English | Duration: 4h 35m | Size: 2.02 GB

Master financial statement integration, DCF valuation, forecasting techniques and risk analysis to build robust models.

What you'll learn
Build dynamic financial models by linking income statement, balance sheet and cash flow for seamless scenario updates.
Apply DCF valuation, calculate WACC, terminal value and equity value using both FCFF and FCFE methodologies.
Forecast revenues, expenses, working capital and capex with top-down and bottom-up approaches for accurate projections.
Perform sensitivity analysis, risk assessment and scenario planning to evaluate model resilience under varying conditions.

Requirements
Basic accounting and corporate finance knowledge, proficiency with Excel (formulas and pivot tables) and access to spreadsheet software. No programming skills needed.

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