Random Numbers Generator and Statistics Set (Set 2) provides 12 random numbers generators that allow you to generate histogram from the probability distribution given the parameters you have specified. You also have the option to output random numbers from the distribution on the spreadsheet.
Finance and Statistics Models Set (Set 1) contains different topics in finance and statistics like Monte Carlo simulation, multivariate standard normail distribution, multiple regression, and option pricing models. 13 programs included.
Working with tabular data? Compare files. Find unique and duplicate values. Modify data and more! Reports, minutes, tables - it's time to take control over it! Filord is a new tool in your hands designed to automate Excel related tasks. Now you're the boss! Get the results with less efforts ever possible! Try it now for free!
Call Center Balanced Scorecard designed in MS Excel. We have designed a Call Center Balanced Scorecard, this solution will help to measure and control the performance of call center using Balanced Scorecard metrics.
Excel-to-MySQL is a program to convert MS Excel spreadsheets into MySQL databases. Each worksheet becomes a table, each row becomes a record and each cell becomes a field. All versions of MS Excel are supported. The program has easy-to-use wizard style interface and works with all versions of MySQL server.
Excel-to-Oracle is a program to migrate MS Excel data into Oracle database. Each worksheet becomes a table, each row becomes a record and each cell becomes a field. All versions of MS Excel are supported. The program has easy-to-use wizard style interface and works with all versions of Oracle server.
Cash flow analysis is the basis for most sound investment and business decisions. It is heavily relied upon for value investing, both in the stock market and for private company and project investment. Our Cash Flow Model is useful across all financial and investment disciplines.
Uses for the Cash Flow Valuation Model
-Profiling the sources of positive or negative cash flow within a business
-Comparing up to 5 different businesses by graphical snapshots, ratio analysis, or by specific cash flow categories
-Scenario analysis of different cash flow growth rates on bottom line profitability
-Estimating future cash flows for up to 10 years
-Calculating business or project value using the Discounted Cash Flow method
-Creating corporate and investor presentations
Key Features
-Easy to use format makes workflow and presentations easy to understand
-Complete flexibility in growth rates and other key variables
-Each of the 9 worksheets is automatically linked to the others so that figures only need to be entered once and they will flow through the model
-Each page is pre-formatted to print on a single piece of 8 �? x 11? paper for fast presentation and quick decision making
-Worksheets and formulas are left unlocked for easy customization if desired
-Includes a complete User's Guide in Word format with multiple screenshots and for easy learning
-Unlimited lifetime single user license
What is included in the User's Guide
-An overview of the Excel worksheets and built-in controls
-How to enter data into the worksheets
-How to estimate and enter different cash flow growth rates
-How to compare cash flows of different companies or investments
-How to value companies or projects using the Discounted Cash Flow method (including how to estimate and apply discount factors for various investments)