## At A Glance

### Excel: Evaluating Excel formulas step by step | lynda.com

This specific tutorial is a single movie from chapter one of the Excel 2007: Financial Analysis course presented by lynda.com author Curt Frye. Watch more at http://www.lynda.com/Excel-2007-tutorials/financial-analysis/52291-2.html?utm_medium=viral&utm_source=youtube&utm_campaign=videoupload-lynda-52291-0104 The complete course has a total duration of 2 hours and 18 minutes. Excel 2007: Financial Analysis table of contents: Introduction 1. Designing a Financial Worksheet 2. Analyzing Cash Flows Using Excel Tables and Pivot Tables 3. Analyzing Financial Statements 4. Calculating Profitability Ratios 5. Calculating Liquidity and Activity Ratios 6. Calculating Leverage Ratios 7. Calculating the Effect of Interest Rates on Loan Repayment 8. Determining Future Cash Flows 9. Forecasting Future Growth 10. Determining Amortization and Depreciation Schedules 11. Analyzing Bond Investments Conclusion
Length: 03:21

## Contact

Questions about Excel: Evaluating Excel formulas step by step | lynda.com

Want more info about Excel: Evaluating Excel formulas step by step | lynda.com? Get free advice from education experts and Noodle community members.