Similarities between Finance and Financial modeling
Finance and Financial modeling have 27 things in common (in Unionpedia): Accounting, Business valuation, Capital budgeting, Certificate in Quantitative Finance, Certified International Investment Analyst, Chartered Financial Analyst, Corporate finance, Derivative (finance), Economic model, Equity (finance), Financial crisis of 2007–2008, Financial economics, Financial engineering, Financial modeling, Hedge (finance), Interest rate, Master of Business Administration, Master of Finance, Master of Quantitative Finance, Mathematical finance, Mathematical model, Numerical analysis, Quantitative analyst, Real options valuation, Risk management, Valuation of options, Working capital.
Accounting
Accounting or accountancy is the measurement, processing, and communication of financial information about economic entities such as businesses and corporations.
Accounting and Finance · Accounting and Financial modeling ·
Business valuation
Business valuation is a process and a set of procedures used to estimate the economic value of an owner's interest in a business.
Business valuation and Finance · Business valuation and Financial modeling ·
Capital budgeting
Capital budgeting, and investment appraisal, is the planning process used to determine whether an organization's long term investments such as new machinery, replacement of machinery, new plants, new products, and research development projects are worth the funding of cash through the firm's capitalization structure (debt, equity or retained earnings).
Capital budgeting and Finance · Capital budgeting and Financial modeling ·
Certificate in Quantitative Finance
The Certificate in Quantitative Finance (CQF) is a Financial Engineering program and a finance designation offered by the CQF Institute.
Certificate in Quantitative Finance and Finance · Certificate in Quantitative Finance and Financial modeling ·
Certified International Investment Analyst
Certified International Investment Analyst (CIIA) is a global finance designation offered by the Association of Certified International Investment Analysts (ACIIA) to financial professionals; candidates may be financial analysts, portfolio managers or investment advisors.
Certified International Investment Analyst and Finance · Certified International Investment Analyst and Financial modeling ·
Chartered Financial Analyst
The Chartered Financial Analyst (CFA) Program is a professional credential offered internationally by the American-based CFA Institute (formerly the Association for Investment Management and Research, or AIMR) to investment and financial professionals.
Chartered Financial Analyst and Finance · Chartered Financial Analyst and Financial modeling ·
Corporate finance
Corporate finance is the area of finance dealing with the sources of funding and the capital structure of corporations, the actions that managers take to increase the value of the firm to the shareholders, and the tools and analysis used to allocate financial resources.
Corporate finance and Finance · Corporate finance and Financial modeling ·
Derivative (finance)
In finance, a derivative is a contract that derives its value from the performance of an underlying entity.
Derivative (finance) and Finance · Derivative (finance) and Financial modeling ·
Economic model
In economics, a model is a theoretical construct representing economic processes by a set of variables and a set of logical and/or quantitative relationships between them.
Economic model and Finance · Economic model and Financial modeling ·
Equity (finance)
In accounting, equity (or owner's equity) is the difference between the value of the assets and the value of the liabilities of something owned.
Equity (finance) and Finance · Equity (finance) and Financial modeling ·
Financial crisis of 2007–2008
The financial crisis of 2007–2008, also known as the global financial crisis and the 2008 financial crisis, is considered by many economists to have been the worst financial crisis since the Great Depression of the 1930s.
Finance and Financial crisis of 2007–2008 · Financial crisis of 2007–2008 and Financial modeling ·
Financial economics
Financial economics is the branch of economics characterized by a "concentration on monetary activities", in which "money of one type or another is likely to appear on both sides of a trade".
Finance and Financial economics · Financial economics and Financial modeling ·
Financial engineering
Financial engineering is a multidisciplinary field involving financial theory, methods of engineering, tools of mathematics and the practice of programming.
Finance and Financial engineering · Financial engineering and Financial modeling ·
Financial modeling
Financial modeling is the task of building an abstract representation (a model) of a real world financial situation.
Finance and Financial modeling · Financial modeling and Financial modeling ·
Hedge (finance)
A hedge is an investment position intended to offset potential losses or gains that may be incurred by a companion investment.
Finance and Hedge (finance) · Financial modeling and Hedge (finance) ·
Interest rate
An interest rate is the amount of interest due per period, as a proportion of the amount lent, deposited or borrowed (called the principal sum).
Finance and Interest rate · Financial modeling and Interest rate ·
Master of Business Administration
The Master of Business Administration (MBA or M.B.A.) is a master's degree in business administration (management).
Finance and Master of Business Administration · Financial modeling and Master of Business Administration ·
Master of Finance
A Master's degree in Finance is a postgraduate program preparing graduates for careers in Finance.
Finance and Master of Finance · Financial modeling and Master of Finance ·
Master of Quantitative Finance
A masters degree in quantitative finance concerns the application of mathematical methods to the solution of problems in financial economics.
Finance and Master of Quantitative Finance · Financial modeling and Master of Quantitative Finance ·
Mathematical finance
Mathematical finance, also known as quantitative finance, is a field of applied mathematics, concerned with mathematical modeling of financial markets.
Finance and Mathematical finance · Financial modeling and Mathematical finance ·
Mathematical model
A mathematical model is a description of a system using mathematical concepts and language.
Finance and Mathematical model · Financial modeling and Mathematical model ·
Numerical analysis
Numerical analysis is the study of algorithms that use numerical approximation (as opposed to general symbolic manipulations) for the problems of mathematical analysis (as distinguished from discrete mathematics).
Finance and Numerical analysis · Financial modeling and Numerical analysis ·
Quantitative analyst
A quantitative analyst (or, in financial jargon, a quant) is a person who specializes in the application of mathematical and statistical methods – such as numerical or quantitative techniques – to financial and risk management problems.
Finance and Quantitative analyst · Financial modeling and Quantitative analyst ·
Real options valuation
Real options valuation, also often termed real options analysis,Adam Borison (Stanford University).
Finance and Real options valuation · Financial modeling and Real options valuation ·
Risk management
Risk management is the identification, evaluation, and prioritization of risks (defined in ISO 31000 as the effect of uncertainty on objectives) followed by coordinator and economical application of resources to minimize, monitor, and control the probability or impact of unfortunate events or to maximize the realization of opportunities.
Finance and Risk management · Financial modeling and Risk management ·
Valuation of options
In finance, a price (premium) is paid or received for purchasing or selling options.
Finance and Valuation of options · Financial modeling and Valuation of options ·
Working capital
Working capital (abbreviated WC) is a financial metric which represents operating liquidity available to a business, organisation or other entity, including governmental entities.
Finance and Working capital · Financial modeling and Working capital ·
The list above answers the following questions
- What Finance and Financial modeling have in common
- What are the similarities between Finance and Financial modeling
Finance and Financial modeling Comparison
Finance has 131 relations, while Financial modeling has 146. As they have in common 27, the Jaccard index is 9.75% = 27 / (131 + 146).
References
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