Description |
1 online resource (xv, 199 pages) : illustrations |
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data file |
Note |
Includes index. |
Contents |
Introduction -- Dates and timing -- Asset cash flow generation -- Prepayments -- Delinquency, default, and loss analysis -- Recoveries -- Liabilities and the cash flow waterfall -- Advanced liability structures : triggers, interest rate swaps, and reserve accounts -- Analytics and output reporting -- Understanding the model -- Automation using Visual Basic Applications (VBA) -- Conclusion. |
Summary |
A practical guide to building fully operational financial cash flow models for structured finance transactions. Structured finance and securitization deals are becoming more commonplace on Wall Street. Up until now, however, market participants have had to create their own models to analyze these deals, and new entrants have had to learn as they go. |
Bibliography |
Includes bibliographical references and index. |
Language |
English. |
Subject |
Microsoft Excel (Computer file)
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Microsoft Excel (Computer file) |
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Cash management -- Mathematical models.
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Cash flow -- Mathematical models.
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Corporations -- Finance -- Mathematical models.
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Gestion de trésorerie -- Modèles mathématiques. |
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Cash flow -- Mathematical models |
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Cash management -- Mathematical models |
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Corporations -- Finance -- Mathematical models |
Other Form: |
Print version: Allman, Keith A., 1977- Modeling structured finance cash flows with Microsoft Excel. Hoboken, N.J. : John Wiley & Sons, ©2007 0470042907 9780470042908 (DLC) 2006025757 (OCoLC)71005745 |
ISBN |
9781119197171 (electronic bk.) |
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1119197171 (electronic bk.) |
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9780470117170 (electronic bk.) |
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0470117176 (electronic bk.) |
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1280826843 |
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9781280826849 |
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9786610826841 |
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6610826846 |
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(paper/cd-rom) |
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(paper/cd-rom) |
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