Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter03\Waterfall.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter03\CashTracking.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter03\Chart Principal and Interest.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter02\IrregularIRR.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter02\Mixed IRR.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter02\InternalRateOfReturn.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter02\IrregularFlows.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter02\NPV.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Interest.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\ExtraPrincipal.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Perpetuity.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Means.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Principal and Interest.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\ReachGoal.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Present Value.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Payment.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\Exercise Files\Chapter01\Future Value.xlsx |
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\02.Disclaimer.mp4
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\03.Using the exercise files.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\01.Welcome.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\03.Using the exercise files.mp4
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\02.Disclaimer.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\1.Introduction\01.Welcome.mp4
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Excel - Analyzing and Visualizing Cash Flows\5.Conclusion\22.Additional resources.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\5.Conclusion\22.Additional resources.mp4
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\19.Build a cash tracking worksheet.mp4
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\20.Visualize cash flows using a waterfall chart.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\20.Visualize cash flows using a waterfall chart.mp4
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\19.Build a cash tracking worksheet.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\21.Visualize the change in principal and interest payment components.mp4
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Excel - Analyzing and Visualizing Cash Flows\4.3. Tracking and Visualizing Cash Flows\21.Visualize the change in principal and interest payment components.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\16.Calculate internal rate of return.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\17.Calculate internal rate of return for irregular cash flows.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\16.Calculate internal rate of return.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\17.Calculate internal rate of return for irregular cash flows.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\15.Calculate net present value given irregular inputs.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\18.Calculate internal rate of return for mixed cash flows.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\13.Introduce net present value and internal rate of return.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\14.Calculate the net present value of an investment.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\18.Calculate internal rate of return for mixed cash flows.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\15.Calculate net present value given irregular inputs.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\14.Calculate the net present value of an investment.mp4
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Excel - Analyzing and Visualizing Cash Flows\3.2. Calculating Net Present Value and Internal Rate of Return\13.Introduce net present value and internal rate of return.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\05.Find the arithmetic and geometric means of growth rates.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\04.Calculate the effect of interest rates and inflation.mp4
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11,860,527 |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\08.Calculate the present value of an investment.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\07.Calculate the future value of an investment.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\10.Calculate principal and interest components of loan payments.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\08.Calculate the present value of an investment.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\11.Calculate the effect of paying extra principal with each payment.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\09.Calculate loan payments for a fully amortized loan.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\11.Calculate the effect of paying extra principal with each payment.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\12.Find the number of periods required to meet an investment goal.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\07.Calculate the future value of an investment.mp4
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5,380,117 |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\09.Calculate loan payments for a fully amortized loan.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\06.Determine the value of a perpetuity.mp4
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\12.Find the number of periods required to meet an investment goal.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\05.Find the arithmetic and geometric means of growth rates.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\04.Calculate the effect of interest rates and inflation.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\10.Calculate principal and interest components of loan payments.en.srt |
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Excel - Analyzing and Visualizing Cash Flows\2.1. Introducing the Time Value of Money\06.Determine the value of a perpetuity.en.srt |
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