This summary is for the Financial Modelling & Analytics (BM09FI) course offered by the Rotterdam School of Management (RSM) as part of the MSc Finance & Investments (F&I) programme.
About the summary
The summary aims to cover 99% of theory as concise as possible. Perfect for use when practicing or revising for your exams or, in 2020, as source during the exam. Incorporates best-practice formatting and step-by-step concise modelling procedures. Examples are included where appropriate for your understanding. I suggest studying theory from the summary and practicing the Excel part from workshops for an optimal and efficient result.
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