2006Financial Analysts JournalRequires access

The Oxford Guide to Financial Modeling: Applications for Capital Markets, Corporate Finance, Risk Management, and Financial Institutions (a review)

Mark S. Rzepczynski

Open publisher page 5 citations

Abstract

Through steady and consistent writing, the authors deliver a unified approach in a single volume to a subject that covers all of the complex issues of financial modeling across the entire spectrum of finance.

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Through steady and consistent writing, the authors deliver a unified approach in a single volume to a subject that covers all of the complex issues of financial modeling across the entire spectrum of finance.

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OpenAlex reports 5 citations for this work. Citation counts describe recorded attention and do not establish research quality.

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Available abstract

Through steady and consistent writing, the authors deliver a unified approach in a single volume to a subject that covers all of the complex issues of financial modeling across the entire spectrum of finance.

Key concepts: Corporate finance, Financial modeling, Finance, Risk management, Structured finance, Financial risk, Financial market, Business

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The Oxford Guide to Financial Modeling: Applications for Capital Markets, Corporate Finance, Risk Management, and Financial Institutions (a review) — Research Paper | ScholarLens