Mathematics for Economics and Finance Paperback: Methods and Modelling

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9780521559133: Mathematics for Economics and Finance Paperback: Methods and Modelling

An introduction to mathematical modelling in economics and finance for students of both economics and mathematics. Throughout, the stress is firmly on how the mathematics relates to economics, illustrated with copious examples and exercises that will foster depth of understanding.

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'Throughout, the stress is firmly on how the mathematics relates to economics, and this is illustrated with copious examples and exercises that will foster depth of understanding.' L'Enseignement Mathématique

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Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth.

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Anthony
ISBN 10: 0521559138 ISBN 13: 9780521559133
Nuevos Paperback Cantidad: 5
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Descripción Paperback. Estado de conservación: New. Softcover Book, Condition: New. 1st Edition. [Please Read Carefully Before Buying], This Is An International Edition. Printed In Black and White. 410 pages, Book Cover And ISBN No May Be Different From US Edition. Restricted Sales Disclaimer Wordings Not For Sales In USA And Canada May Be Printed On The Cover Of The Book. Standard Shipping 7-14 Business Days. Expedited Shiping 4-8 Business Days. ***WE DO NOT ENTERTAIN BULK ORDERS.*** The Books May Be Ship From Overseas For Inventory Purpose. Nº de ref. de la librería 280815

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Anthony
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Paperback. Estado de conservación: New. New Softcover International Edition, Printed in Black and White, Different ISBN, Same Content As US edition, Book Cover may be Different, in English Language. Nº de ref. de la librería 602

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Martin Anthony, Norman L. Biggs
Editorial: CAMBRIDGE UNIVERSITY PRESS, United Kingdom (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción CAMBRIDGE UNIVERSITY PRESS, United Kingdom, 1996. Paperback. Estado de conservación: New. 226 x 154 mm. Language: English . Brand New Book. Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth. Nº de ref. de la librería AAA9780521559133

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Martin Anthony, Norman L. Biggs
Editorial: CAMBRIDGE UNIVERSITY PRESS, United Kingdom (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
Nuevos Paperback Cantidad: 10
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The Book Depository US
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Descripción CAMBRIDGE UNIVERSITY PRESS, United Kingdom, 1996. Paperback. Estado de conservación: New. 226 x 154 mm. Language: English . Brand New Book. Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth. Nº de ref. de la librería AAA9780521559133

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Martin Anthony
Editorial: Cambridge University Press 1996-07-13|NU-GRD-00356912 (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Cambridge University Press 1996-07-13|NU-GRD-00356912, 1996. Paperback. Estado de conservación: New. 9780521559133. Nº de ref. de la librería NU-GRD-00356912

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Martin Anthony, Norman L. Biggs
Editorial: Cambridge University Press 1996-07-13, Cambridge (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
Nuevos paperback Cantidad: 5
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Blackwell's
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Descripción Cambridge University Press 1996-07-13, Cambridge, 1996. paperback. Estado de conservación: New. Nº de ref. de la librería 9780521559133

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Biggs, Norman L.
Editorial: Cambridge University Press
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Cambridge University Press. Estado de conservación: Brand New. Dispatch Same Working Day, (Delivery 2-4 business days, Courier For Heavy/Expensive Items) Money Back Guarantee, Prompt Customer Service. Nº de ref. de la librería 42152760

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Anthony, Martin, Biggs, Norman
Editorial: Cambridge University Press (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Cambridge University Press, 1996. Estado de conservación: New. 1996. 1st Edition. Paperback. An introduction to mathematical modelling in economics and finance. Num Pages: 407 pages, line illustrations. BIC Classification: KCA; PBW. Category: (U) Tertiary Education (US: College). Dimension: 228 x 156 x 27. Weight in Grams: 558. Methods and Modelling. 410 pages, line illustrations. An introduction to mathematical modelling in economics and finance. Cateogry: (U) Tertiary Education (US: College). BIC Classification: KCA; PBW. Dimension: 228 x 156 x 27. Weight: 660. . . . . . . Nº de ref. de la librería V9780521559133

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Anthony, Martin
Editorial: Cambridge University Press (1996)
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Cambridge University Press, 1996. PAP. Estado de conservación: New. New Book. Shipped from UK in 4 to 14 days. Established seller since 2000. Nº de ref. de la librería GB-9780521559133

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Martin Anthony, Norman L. Biggs
Editorial: Cambridge University Press
ISBN 10: 0521559138 ISBN 13: 9780521559133
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Descripción Cambridge University Press. Paperback. Estado de conservación: new. BRAND NEW, Mathematics for Economics and Finance: Methods and Modelling, Martin Anthony, Norman L. Biggs, Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth. Nº de ref. de la librería B9780521559133

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