Introduction
Welcome
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Disclaimer
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Using the exercise files
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1. Introducing the Time Value of Money
Calculate the effect of interest rates and inflation
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Find the arithmetic and geometric means of growth rates
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Determine the value of a perpetuity
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Calculate the future value of an investment
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Calculate the present value of an investment
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Calculate loan payments for a fully amortized loan
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Calculate principal and interest components of loan payments
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Calculate the effect of paying extra principal with each payment
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Find the number of periods required to meet an investment goal
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2. Calculating Net Present Value and Internal Rate of Return
Introduce net present value and internal rate of return
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Calculate the net present value of an investment
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Calculate net present value given irregular inputs
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Calculate internal rate of return
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Calculate internal rate of return for irregular cash flows
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Calculate internal rate of return for mixed cash flows
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3. Tracking and Visualizing Cash Flows
Build a cash tracking worksheet
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Visualize cash flows using a waterfall chart
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Visualize the change in principal and interest payment components
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Conclusion
Additional resources
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Ex_Files_Excel_Cash_Flows.zip
(1.8 GB)