TY - BOOK AU - Mayes R, Timothy. TI - Financial analysis with microsoft excel 2016 SN - 9789355738073 U1 - 658.1502 PY - 2018/// CY - Delhi, India PB - Cengage KW - Microsoft Excel (Computer file) N1 - Includes bibliographical references and index; Intro Title page Copyright page Contents Preface Purpose of the Book Target Audience A Note to Students Organization of the Book Outstanding Features Pedagogical Features Supplements Typography Conventions Changes from the 7th Edition A Note on the Internet Acknowledgments Chapter 1: Introduction to Excel 2016 Spreadsheet Uses Starting Microsoft Excel Parts of the Excel Screen The File Tab and Quick Access Toolbar The Home Tab The Formula Bar The Worksheet Area Sheet Tabs Status Bar Navigating the Worksheet Selecting a Range of Cells Using Defined Names Entering Text and Numbers Formatting and Alignment Options Formatting Numbers Adding Borders and Shading Entering Formulas Copying and Moving Formulas Mathematical Operators Parentheses and the Order of Operations Using Excel's Built-In Functions Using the Insert Function Dialog Box "Dot Functions" in Excel 2016 Using User-Defined Functions Creating Graphics Creating Charts in a Chart Sheet Creating Embedded Charts Formatting Charts Changing the Chart Type Creating Sparkline Charts Printing Using Excel with Other Applications Quitting Excel Best Practices for Spreadsheet Models Summary Problems Internet Exercise Chapter 2: The Basic Financial Statements The Income Statement Building an Income Statement in Excel The Balance Sheet Building a Balance Sheet in Excel Improving Readability: Custom Number Formats Common-Size Financial Statements Creating Common-Size Income Statements Creating a Common-Size Balance Sheet Building a Statement of Cash Flows Using Excel's Outliner Common-Size Statement of Cash Flows Summary Problems Internet Exercise Chapter 3: Financial Statement Analysis Tools Liquidity Ratios The Current Ratio The Quick Ratio Efficiency Ratios Inventory Turnover Ratio Accounts Receivable Turnover Ratio Average Collection Period Fixed Asset Turnover Ratio Total Asset Turnover Ratio Leverage Ratios The Total Debt Ratio The Long-Term Debt Ratio The Long-Term Debt to Total Capitalization Ratio The Debt to Equity Ratio The Long-Term Debt to Equity Ratio Coverage Ratios The Times Interest Earned Ratio The Cash Coverage Ratio Profitability Ratios The Gross Profit Margin The Operating Profit Margin The Net Profit Margin Return on Total Assets Return on Equity Return on Common Equity DuPont Analysis Analysis of EPI's Profitability Ratios Financial Distress Prediction The Original Z-Score Model The Z-Score Model for Private Firms Using Financial Ratios Trend Analysis Comparing to Industry Averages Company Goals and Debt Covenants Automating Ratio Analysis Economic Profit Measures of Performance Summary Problems Internet Exercise Chapter 4: The Cash Budget The Worksheet Area N2 - Combining the best of Excel 2016 with a solid foundation in corporate finance, Mayes/Shank's FINANCIAL ANALYSIS WITH MICROSOFT EXCEL 2016, 8E, equips students with the skills to solve real-world financial problems. With a new focus on time series forecasting and Get & Transform tools (formerly known as Power Query), the text delivers comprehensive coverage of the corporate finance topics most important to employers, including financial statements, cash budgets, the Security Market Security Line, pro forma financial statements, cost of capital, VBA programming, and Pivot Tables. A reader-friendly, self-directed learning approach and numerous study tools make the book an ideal resource for learners of all levels. It begins with the basics before moving quickly into the more advanced features of Excel 2016. In addition, its easy-to-understand presentation helps students build upon their spreadsheet skills while strengthening their understanding of contemporary corporate finance.-- Provided by Publisher ER -