CUMIPMT
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Returns the total interest paid on a loan in specified periodic
payments.
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CUMPRINC
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Returns the total capital repaid on a loan in specified periodic
payments.
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DB
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Returns the depreciation of an asset for a given year using the fixed
rate declining-balance method.
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DDB
|
Returns the depreciation of an asset for a given year using the double
declining-balance method (or any other factor).
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DOLLARDE
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Converts a fractional number representation of a number into a decimal
number.
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DOLLARFR
|
Converts a decimal number into a fractional representation of that
number.
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EFFECT
|
Returns the effective compounded interest rate given a nominal interest
rate.
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FV
|
Returns the future value of an initial sum with a subsequent stream of
payments.
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FVSCHEDULE
|
Returns the future value of a lump sum, with changing future interest
rates.
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IPMT
|
Returns the portion of the periodic payment which is interest for a
fixed rate loan or annuity.
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IRR
|
Calculates the internal rate of return of a series of cash flows.
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ISPMT
|
Returns the interest paid in a period for a fixed-rate loan.
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MIRR
|
Returns the modified internal rate of return of a series of cash flows.
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NOMINAL
|
Returns a nominal interest rate given the effective compounded interest
rate.
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NPER
|
Returns the number of payment periods for an annuity.
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NPV
|
Returns the net present value of an investment with regular cash
payments.
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PDURATION
|
Returns the number of periods required by an investment to realize a
desired value.
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PMT
|
Returns the payment per period for a fixed-rate loan.
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PPMT
|
Returns the portion of the periodic payment which is repaid capital for
a fixed-rate loan or annuity.
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PV
|
Returns the present value of a stream of future payments with a final
lump sum.
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RATE
|
Returns the interest rate of an annuity.
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RRI
|
Returns an equivalent interest rate when an investment increases in
value.
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SLN
|
Returns the depreciation of an asset in a single period using the
straight-line depreciation method.
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SYD
|
Returns the depreciation of an asset for a given year using the sum of
the years' digits method.
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TBILLEQ
|
Returns the bond-equivalent-yield (BEY) for a US Treasury bill.
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TBILLPRICE
|
Returns the issue price for a US Treasury bill, per $100 face value,
given a discount rate.
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TBILLYIELD
|
Returns the yield for a US Treasury bill.
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XIRR
|
Calculates the internal rate of return of a series of irregular cash
flows.
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XNPV
|
Returns the net present value of an investment with irregular cash
payments.
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