"Quantitative Methods For Finance And Investments" is a comprehensive guide to using basic elements of mathematics for various types of financial modelling, created by John Teall. The book aims to provide readers with proper degree of confidence and skills when they apply mathematics to analyse financial issues. This book does not give you an introduction to finance but highlights the prerequisites expected by its model-based studies. Instead, it details the new real concepts behind the main courses being taught across finance — about both the financial markets that model as well as investment tactics that optimise returns to building wealth.
Издание `Quantitative Methods For Finance and Investment`, автор Джон Тилл, гарантирует что после чтения, читатель получит разумное и основательное осознавание как применять элементарную математику для ряда видов финансового анализа. В этом издании разработчик сосредоточился на разработке, применении и анализе финансовых моделей для решения финансовых проблем.
Электронная Книга «Quantitative Methods for Finance and Investments» написана автором John Teall в году.
Минимальный возраст читателя: 0
Язык: Английский
ISBN: 9781405141840
Описание книги от John Teall
Quantitative Methods for Finance and Investments ensures that readers come away from reading it with a reasonable degree of comfort and proficiency in applying elementary mathematics to several types of financial analysis. All of the methodology in this book is geared toward the development, implementation, and analysis of financial models to solve financial problems.