Financial Modeling and Valuation: A Practical Guide to Investment Banking and Private Equity
暫譯: 金融模型與估值:投資銀行與私募股權的實用指南

Pignataro, Paul

  • 出版商: Wiley
  • 出版日期: 2013-07-10
  • 售價: $3,510
  • 貴賓價: 9.5$3,335
  • 語言: 英文
  • 頁數: 432
  • 裝訂: Hardcover - also called cloth, retail trade, or trade
  • ISBN: 1118558766
  • ISBN-13: 9781118558768
  • 海外代購書籍(需單獨結帳)

商品描述

Written by the Founder and CEO of the prestigious New York School of Finance, this book schools you in the fundamental tools for accurately assessing the soundness of a stock investment. Built around a full-length case study of Wal-Mart, it shows you how to perform an in-depth analysis of that company's financial standing, walking you through all the steps of developing a sophisticated financial model as done by professional Wall Street analysts. You will construct a full scale financial model and valuation step-by-step as you page through the book.

When we ran this analysis in January of 2012, we estimated the stock was undervalued. Since the first run of the analysis, the stock has increased 35 percent. Re-evaluating Wal-Mart 9months later, we will step through the techniques utilized by Wall Street analysts to build models on and properly value business entities.

  • Step-by-step financial modeling - taught using downloadable Wall Street models, you will construct the model step by step as you page through the book.
    • Hot keys and explicit Excel instructions aid even the novice excel modeler.
    • Model built complete with Income Statement, Cash Flow Statement, Balance Sheet, Balance Sheet Balancing Techniques, Depreciation Schedule (complete with accelerating depreciation and deferring taxes), working capital schedule, debt schedule, handling circular references, and automatic debt pay downs.
    • Illustrative concepts including detailing model flows help aid in conceptual understanding.
    • Concepts are reiterated and honed, perfect for a novice yet detailed enough for a professional.
    • Model built direct from Wal-Mart public filings, searching through notes, performing research, and illustrating techniques to formulate projections.
  • Includes in-depth coverage of valuation techniques commonly used by Wall Street professionals.
    • Illustrative comparable company analyses - built the right way, direct from historical financials, calculating LTM (Last Twelve Month) data, calendarization, and properly smoothing EBITDA and Net Income.
    • Precedent transactions analysis - detailing how to extract proper metrics from relevant proxy statements
    • Discounted cash flow analysis - simplifying and illustrating how a DCF is utilized, how unlevered free cash flow is derived, and the meaning of weighted average cost of capital (WACC)
    • Step-by-step we will come up with a valuation on Wal-Mart
  • Chapter end questions, practice models, additional case studies and common interview questions (found in the companion website) help solidify the techniques honed in the book; ideal for universities or business students looking to break into the investment banking field.

商品描述(中文翻譯)

由享譽盛名的紐約金融學院創辦人兼執行長所撰寫,本書教導您準確評估股票投資健全性的基本工具。書中圍繞著沃爾瑪的完整案例研究,展示如何對該公司的財務狀況進行深入分析,逐步引導您開發專業華爾街分析師所使用的複雜財務模型。您將在翻閱書籍的過程中,逐步構建完整的財務模型和估值。

當我們在2012年1月進行這項分析時,我們估計該股票被低估。自首次分析以來,該股票已上漲35%。在9個月後重新評估沃爾瑪時,我們將逐步介紹華爾街分析師用來建立模型和正確評價商業實體的技術。

- 逐步財務建模 - 使用可下載的華爾街模型進行教學,您將在翻閱書籍的過程中逐步構建模型。
- 熱鍵和明確的Excel指令即使對於初學者的Excel建模者也有幫助。
- 模型完整包含損益表、現金流量表、資產負債表、資產負債表平衡技術、折舊計劃(包括加速折舊和遞延稅款)、營運資本計劃、債務計劃、處理循環參考和自動償還債務。
- 包含詳細模型流程的示例概念有助於概念理解。
- 概念重申和精煉,對於初學者來說完美,對於專業人士來說則足夠詳細。
- 模型直接從沃爾瑪的公開檔案中構建,通過查閱註釋、進行研究並展示技術來制定預測。

- 包含華爾街專業人士常用的估值技術的深入介紹。
- 示範可比公司分析 - 以正確的方式構建,直接來自歷史財務數據,計算LTM(最近十二個月)數據、日曆化和正確平滑EBITDA和淨利潤。
- 先前交易分析 - 詳細說明如何從相關的代理聲明中提取適當的指標。
- 折現現金流分析 - 簡化並說明如何使用DCF,如何推導無杠桿自由現金流,以及加權平均資本成本(WACC)的含義。
- 我們將逐步對沃爾瑪進行估值。

- 章節結尾問題、練習模型、額外案例研究和常見面試問題(可在伴隨網站中找到)有助於鞏固書中精煉的技術;非常適合希望進入投資銀行領域的大學或商業學生。

作者簡介

PAUL PIGNATARO is the founder and CEO of the New York School of Finance (NYSF). He has over thirteen years of experience in investment banking and private equity in business mergers, acquisitions, restructurings, asset divestitures, asset acquisitions, and debt and equity transactions covering the oil, gas, power and utility, internet and technology, real estate, defense, travel, banking, and service industries. At NYSF, Mr. Pignataro continues to participate on the training team, actively providing training at bulge bracket banks and M&A teams at corporations, and billion dollar funds. Prior to his entrepreneurial endeavors, Mr. Pignataro worked at TH Lee Putnam Ventures, a $1 billion private equity firm affiliated with buyout giant Thomas H. Lee Partners. Prior to TH Lee, Mr. Pignataro worked in the Investment Banking department of Morgan Stanley.

作者簡介(中文翻譯)

保羅·皮尼塔羅是紐約金融學院(NYSF)的創辦人兼執行長。他在投資銀行和私募股權方面擁有超過十三年的經驗,涉及商業合併、收購、重組、資產剝離、資產收購以及涵蓋石油、天然氣、電力和公用事業、互聯網和科技、房地產、國防、旅遊、銀行和服務行業的債務和股權交易。在NYSF,皮尼塔羅先生持續參與培訓團隊,積極在大型投資銀行和企業的併購團隊以及十億美元的基金中提供培訓。在創業之前,皮尼塔羅先生曾在TH Lee Putnam Ventures工作,這是一家與收購巨頭Thomas H. Lee Partners相關聯的十億美元私募股權公司。在TH Lee之前,皮尼塔羅先生曾在摩根士丹利的投資銀行部門工作。