Mathematical Interest Theory: Third Edition
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Mathematical Interest Theory provides a solid foundation for informed borrowers and investors, with over 260 worked examples and 475 problems for comprehensive understanding.
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Detalji o proizvodu
| Publisher | American Mathematical Society |
| Publication date | April 15, 2021 |
| Edition | 3rd |
| Language | English |
| Print length | 581 pages |
| ISBN-10 | 147046568X |
| ISBN-13 | 978-1470465681 |
| Item Weight | 2.84 pounds (1.29 kg) |
| Dimensions | 6.02 x 1.25 x 8.98 inches (15.3 x 3.2 x 22.8 cm) |
Who Should Buy?
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Finance Students
Ideal for students studying finance who need a solid foundation in interest calculations and mathematical theory applications.
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Actuarial Professionals
Beneficial for actuaries requiring a comprehensive understanding of interest theory for risk assessment and financial modeling.
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Mathematics Enthusiasts
Great for those with a passion for mathematics wanting to explore the deeper concepts of interest and finance.
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Casual Readers
Individuals seeking light reading or an introduction to finance may find this book too technical and detailed.
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Mathematical Interest Theory: Third Edition
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€ 123
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Značajke i prednosti
- Offers clear insights into investment growth over time with mathematical precision.
- Covers modern financial topics like arbitrage, options, futures, and swaps.
- Ideal for those with a strong high-school algebra background.
- Includes over 260 carefully worked examples for practical application.
- Perfect for mid to upper-level undergraduate courses or beginning graduate studies.
- Recommended by the Society of Actuaries for Financial Mathematics exam preparation.
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