Financial mathematics. Tutorial

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Author:Pyotr Nikitovich Brusov
Cover:Hard
Category:Business & MoneyScience & Math
ISBN:978-5-406-08878-4
Dimensions: 153x18x217cm
The manual is written in accordance with the program of the course "Financial Mathematics" for bachelors. It contains information on financial mathematics, the knowledge of which is necessary not only for every financier, but also to every competent economist of a wide profile. It consists of seven chapters: "Theory of interest", "financial flows and annuities", "profitability and risk of financial transaction", "portfolio analysis", "bonds", "theory of Modigli - Miller", "Theory of Brusov - Filatova - Orekhova" . The last two chapters are devoted to modern theories of the structure of the capital of the company.
From other textbooks and textbooks, it is distinguished by detailed and affordable presentation with the conclusion and evidence of all statements, a much wider consideration of the issues raised.
Each chapter provides many details of the practical examples, and at the end of each chapter many questions and tasks are given to monitor the degree of assimilation of the material and consolidate the studied.
corresponds to the Federal State Educational Standard in the last generation.
For undergraduate students of all financial and economic areas and profiles, including finances and credit, accounting and audit, taxes, insurance, international economic relations, etc. It will be useful to specialists of all financial and economic specialties, as well as everyone who wants to master quantitative Methods in finance and economics.
5th edition, corrected and supplemented
Author:
Author:Pyotr Nikitovich Brusov
Cover:
Cover:Hard
Category:
  • Category:Business & Money
  • Category:Science & Math
Series:
Series: Bachelor
ISBN:
ISBN:978-5-406-08878-4

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