Quantitative Methods for Finance and InvestmentsISBN: 978-0-631-22338-2
Hardcover
296 pages
March 2002, Wiley-Blackwell
This is a Print-on-Demand title. It will be printed specifically to fill your order. Please allow an additional 10-15 days delivery time. The book is not returnable.
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"This excellent text patiently guides the reader through a wide
array of mathematics, ranging from elementary matrix algebra to
differential and integral calculus. The quantitative methods are
illustrated with a rich and captivating assortment of applications
to the analysis of portfolios, derivatives, exchange, fixed income
instruments, and equities. Undergraduate and MBA-level students who
have read this book will feel comfortable with the mathematics in
their finance courses and their professors can focus on teaching
finance as it should be taught." Kose John, Stern School of
Business, New York University <1--end-->
"This volume provides a comprehensive review of mathematics which will prove invaluable for students of finance. It is a reference book for the nonmathematician and a clear and concise text that will help fill the gaps in students' knowledge. Although the topic is quantitative methods, the organization, emphasis, applications, and numerous examples are all geared to the student of finance. Having Teall and Hasan on your bookshelf provides an essential safety net for students, teachers, and practitioners." Paul Wachtel, Stern School of Business, New York University