Financial modelling: Difference between revisions
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imported>Doug Williamson (Layout.) |
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The process of writing and using financial models. | The process of writing and using [[Financial model| financial models]]. | ||
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== See also == | == See also == | ||
* [[ | * [[Anchoring]] | ||
* [[EuSpRIG]] | * [[EuSpRIG]] | ||
* [[FAST | * [[Excel]] | ||
* [[FAST Modelling Standard]] | |||
* [[Financial model]] | * [[Financial model]] | ||
*[[Model]] | |||
* [[Quantitative techniques]] | |||
* [[Sensitivity analysis]] | |||
* [[Sign convention]] | |||
* [[Spreadsheet]] | |||
* [[Spreadsheet Standards]] | * [[Spreadsheet Standards]] | ||
* [[SSRB]] | * [[SSRB]] | ||
[[Category:The_business_context]] | |||
[[Category:Corporate_finance]] | |||
[[Category:Investment]] | |||
[[Category:Long_term_funding]] | |||
[[Category:Identify_and_assess_risks]] | |||
[[Category:Manage_risks]] | |||
[[Category:Risk_frameworks]] | |||
[[Category:Risk_reporting]] |
Latest revision as of 10:59, 5 July 2022
1.
The process of writing and using financial models.
2.
The systematic study and structuring of this work.
Spelled modeling in North America.