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Investment-Calc PRO Version 7.5 Calculates rate of return, discount rate, return on investment, payback period, net present value, internal rate of return, time value of investment cash flows, bond yield amortization & OID values.
Price $97.50 FREE GIVEAWAYS > Quick Guide to Investment Calculations gives you all the key formula and equations for the time value of cash flows, using net present values and internal rate of return, ROIC and discounted pay back, plus lots more. Plus > Excel templates for Constant Bond yields. Calculates yield to maturity (IRR), IOD, total interest, total cash flow for any fixed coupon security plus original issue discount values.
You can set the currency to any symbol by opening the Format menu in Excel and selecting Cells from the drop down list, which produces the Format Cells table. Click Currency and then choose the currency you want to work with from the Symbol panel. Overview Investment-Calc PRO 7.3 – latest version (Updated January 2006) of our tried and tested investment return analysis tool for Excel – contains over 50 NPV/IRR – ROI – ROR – EVA – Beta – Risk Analysis – Project Evaluation – LookUp Current Market Returns/Rates – Cost of Capital – Capital Budgets – Options – cash flow forecast templates, plus lots of help instructions & guides, financial databases and tables with current values for imported financial data. Menu of templates and information pages:
The program calculates Internal Rates of Return, ROIC, Payback, after tax cash flows, present values, Accounting Rate of Return, Share Valuation & Economic Valuations with variable equity/debt financing ratios, and risk analysis over any forecast period. Investment-Calc incorporates self generating tables that calculate straight line and MACRS depreciation and tax calculations. Investment-Calc 7.3 provides:
Below are a selection of 8 screen graphics out of 65 calculators, spreadsheets, help guides, explanations and templates provided: Present Value & Compounding calculators for Excel from/to any future date. T-Bill rate values are imported via Web Query. Imported financial data transposed to easy lookup combo boxes. Start calculating NPV & IRR using Goal Seek as well as Excel IRR. Preparing Base Case Investment Appraisal and risk adjustment figures using these instructions and templates. After tax analysis Base Case forecast adjusted by varying unit volumes and price levels. After tax analysis Base Case forecast adjusted by varying unit volumes and price levels. Use Continuing Value calculations to include project value beyond the forecast period. Quick NPV/IRR forecasting schedules for annual projections (to 60 years) and monthly (to 120 months).
Share Valuation: Basic accounting returns & EBIT forecasting, and IRR of a profit forecast. Capital Project analysis with detailed expense and income itemizations. Valuing a lease purchase. Portfolio rate of return and annualized rate of return using 365/360 day options. |
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