Company Analysis and 3-Statement Financial Modeling

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Course Content

👋 Introduction to This Course
🧭 Section I. What Analysts Build Before They Open a Spreadsheet
1. The Financial Model Behind Every Investment Decision
2. Why Business Research Drives Every Number in Your Model
🗺️ Section II. The Blueprint Top Analysts Uses Before Building a Model
3. Download the Excel Modelling Template
4. Why the Order You Build Your Model Determines Whether It Is Right
🏢 Section III. Understanding the Business Before Forecasting Revenue and Cost
6. The Formula Behind Every Revenue Forecast
7. How to Read a Company’s Products Before You Forecast Numbers
8. How Industry Forces Shape the Price and Volume You Can Forecast
🛠️ Section IV. How to Build the Core Schedules That Make the Model Work
10. Revenue Modeling from Your P Q J C Thesis
11. CapEx and Depreciation Modeling Before You Lock in Costs
12. Working Capital Modeling That Connects Growth to Cash
13. Debt and Interest Modeling Across the 3 Statements
14. Share Count Modeling That Gets EPS Right
📑 Section V. Complete the Three Statements from Your Schedules
15. Model the Full Income Statement from Revenue to EPS
16. Build the Balance Sheet That Ties Out Cleanly
17. Complete the Cash Flow Statement and Derive FCF
🔬 Section VI. How to Verify Calibrate and Stress-Test Your Completed Model
18. 6 Checks That Confirm Your Model Is Actually Done
19. Anchor Your Model to Guidance and Consensus Before You Finalize It
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