In the realm of investment evaluation, the CAPM model within the Capital Budgeting Spreadsheet constitutes a remarkable tool. Grappled with notions like the real estate market or stock-related insights? This model provides a pathway to understand profitability indices, net cash flow, and return on investment. It incorporates elements such as the internal rate of return (IRR) and the adjusted basis, providing a clearer view of break-even points and paybacks. It then ushers learners into the deep waters of investment by delving into present and net present value calculations, and dissected cash flow methodologies.
This sheet is part of our Capital Budgeting Spreadsheet spreadsheet. Available in Google Sheets, and Microsoft Excel. Download using links below
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