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Get ahead of your peers with Real Estate Financial Modelling in Excel, a book specifically designed to ensure that the next generation of property professionals become experts in the quantitative analysis of investments by teaching them how to create automated spreadsheets for the analysis of risk and return. Real estate financial modelling has become an essential skill to investment analysts as the global property industry has seen huge transformations as a result of more institutional investors, especially private equity funds, increasing their interest in the asset class. Consequently, the industry requires a new skill set from real estate professionals and graduates. Real Estate Financial Modelling in Excel will help current finance and real estate students, as well as practitioners, to harness the power of Microsoft Excel in the context of real estate investments and explain in an easy-to-follow manual style how to create financial models that will predict financial returns and the risks related to them. Readers will learn to use Excel for automation, data analysis, and data visualisation to inform their capital allocation decisions, giving them the edge with those technical skills in high demand in the investment markets and in particular with sophisticated investors such as pension and insurance funds, private equity, and specialised debt funds. This book will address the needs of busy real estate professionals and students in the final year of a real estate bachelors degree or masters degree, who want to apply the theories of finance and investment into practice and build models to help make decisions regarding acquisitions, disposals, and management of real estate assets. Format Häftad Omfång 234 sidor Språk Engelska Förlag Taylor & Francis Ltd Utgivningsdatum 2024-12-30 ISBN 9781032544007
Stabilt pris
Som normalt
Sällan rea
Förlag
CRC Press LLC
Utgivningsår
2024
Format
Häftad
Sidantal
234
Språk
Engelska
ISBN
9781032544007
Lägsta pris
Just nu listar 1 butik den här boken. Vi uppdaterar priserna flera gånger per dag — bevaka priset så meddelar vi dig när fler butiker eller ett lägre pris dyker upp.
Vi har hittat boken hos 1 butik med verifierat pris — en partnerbutik som vi får provision från när du klickar på ”Visa hos butik”. Vissa butiker visas som extern länk utan pris — priset ser du först hos butiken. Priset för dig är detsamma. Frakt kan tillkomma och varierar mellan butiker och leveranssätt — kontrollera alltid aktuellt pris och leveransvillkor hos butiken innan du slutför köpet.
Skriver du om boken på en blogg eller sajt? .
Priset har nyligen gått ner jämfört med butikens eget tidigare pris.
Det lägsta priset vi sett för boken sedan Booki började mäta.
Billigaste butiken ligger under de övriga butikernas medianpris just nu — en jämförelse mellan butiker, inte ett prisfall över tid.
Butiken med lägst pris i prislistan på boksidan just nu.
Get ahead of your peers with Real Estate Financial Modelling in Excel, a book specifically designed to ensure that the next generation of property professionals become experts in the quantitative analysis of investments by teaching them how to create automated spreadsheets for the analysis of risk and return. Real estate financial modelling has become an essential skill to investment analysts as the global property industry has seen huge transformations as a result of more institutional investors, especially private equity funds, increasing their interest in the asset class. Consequently, the industry requires a new skill set from real estate professionals and graduates. Real Estate Financial Modelling in Excel will help current finance and real estate students, as well as practitioners, to harness the power of Microsoft Excel in the context of real estate investments and explain in an easy-to-follow manual style how to create financial models that will predict financial returns and the risks related to them. Readers will learn to use Excel for automation, data analysis, and data visualisation to inform their capital allocation decisions, giving them the edge with those technical skills in high demand in the investment markets and in particular with sophisticated investors such as pension and insurance funds, private equity, and specialised debt funds. This book will address the needs of busy real estate professionals and students in the final year of a real estate bachelors degree or masters degree, who want to apply the theories of finance and investment into practice and build models to help make decisions regarding acquisitions, disposals, and management of real estate assets. Format Häftad Omfång 234 sidor Språk Engelska Förlag Taylor & Francis Ltd Utgivningsdatum 2024-12-30 ISBN 9781032544007
Stabilt pris
Som normalt
Sällan rea
Förlag
CRC Press LLC
Utgivningsår
2024
Format
Häftad
Sidantal
234
Språk
Engelska
ISBN
9781032544007
Just nu listar 1 butik den här boken. Bevaka priset så meddelar vi dig när fler butiker eller ett lägre pris dyker upp.
ISBN 9781032544007 jämförs hos alla butiker
Get ahead of your peers with Real Estate Financial Modelling in Excel, a book specifically designed to ensure that the next generation of property professionals become experts in the quantitative analysis of investments by teaching them how to create automated spreadsheets for the analysis of risk and return. Real estate financial modelling has become an essential skill to investment analysts as the global property industry has seen huge transformations as a result of more institutional investors, especially private equity funds, increasing their interest in the asset class. Consequently, the industry requires a new skill set from real estate professionals and graduates. Real Estate Financial Modelling in Excel will help current finance and real estate students, as well as practitioners, to harness the power of Microsoft Excel in the context of real estate investments and explain in an easy-to-follow manual style how to create financial models that will predict financial returns and the risks related to them. Readers will learn to use Excel for automation, data analysis, and data visualisation to inform their capital allocation decisions, giving them the edge with those technical skills in high demand in the investment markets and in particular with sophisticated investors such as pension and insurance funds, private equity, and specialised debt funds. This book will address the needs of busy real estate professionals and students in the final year of a real estate bachelors degree or masters degree, who want to apply the theories of finance and investment into practice and build models to help make decisions regarding acquisitions, disposals, and management of real estate assets. Format Häftad Omfång 234 sidor Språk Engelska Förlag Taylor & Francis Ltd Utgivningsdatum 2024-12-30 ISBN 9781032544007
Stabilt pris
Som normalt
Sällan rea
Förlag
CRC Press LLC
Format
Häftad
Sidantal
234
Språk
Engelska
ISBN
9781032544007
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