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Publicado por Financial Executives Research Foundation, New York, NY, 1969
ISBN 10: 0685096378ISBN 13: 9780685096376
Librería: 100POCKETS, Berkeley, CA, Estados Unidos de America
Libro Original o primera edición
Hardcover. Condición: New - Collectible. Estado de la sobrecubierta: Near Fine. First Edition, 1st Printing. The author received SB and SM degrees in electrical engineering (MIT), a B.Phil (Oxon), and a Ph.D in economics (Harvard), and before beginning a teaching career was an economist with GE. The book, like his resume, is balanced between theory and practice. Mathematical tools are relatively simple (no calculus): Extrapolation (of moving averages, time series, and cuve fits) amd Causal Analysis (additive, regression, and simulation models) are among them. 347 pages, with tables, figures, 8 Appendixes, and Index; plus vii pages prefatory matter. Dustjacket is rubbed at edges, otherwise clean and sound; boaards and text are clean and near new.