Financial mathematics: exercises and solutions
Material type:
- 9783031746673
- 650.015 BRU
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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Indian Institute of Management LRC General Stacks | Operations Management & Quantitative Techniques | 650.015 BRU (Browse shelf(Opens below)) | 1 | Available | 008728 |
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629.13 OLS Introduction to oil tanker and gas carrier operations | 629.2340685 OHN Toyota production system: beyond large-scale production | 650 MER Project management in practice | 650.015 BRU Financial mathematics: exercises and solutions | 650.0151 ORE A guide to business mathematics | 650.0151 PER Math for business and economics: | 650.01513 KHA A textbook of business mathematics |
Table of contents:
Front Matter
Pages i-xi
Theory of Interest
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 1-52
Financial Flows, Annuities
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 53-122
Profitability and Risk of a Financial Transaction
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 123-134
Portfolio Analysis
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 135-198
Bonds
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 199-227
The Modigliani–Miller Theory
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 229-238
Theory of Brusov–Filatova–Orekhova (BFO Theory)
Peter Brusov, Tatiana Filatova, Natali Orekhova
Pages 239-247
Back Matter
Pages 249-275
This textbook is designed to facilitate a thorough learning for students of financial mathematics. It includes exercises and theoretical questions across seven chapters: Interest Theory, Financial Flows and Annuities, Profitability and Risk of Financial Operations, Portfolio Analysis, Bonds, Modigliani-Miller Theory, and Brusov-Filatova-Orekhova Theory. The last two chapters are dedicated to modern theories of capital structure, including problems and tasks. More than 130 detailed solutions are provided to help students solve the assignments in the textbook.
This textbook is suitable for undergraduate and graduate students in all financial and economic fields, including finance and credit, accounting and auditing, taxes, insurance, and international economic relations. It is also useful for professionals in financial and economic specialties, including financial analysts, as well as anyone interested in mastering quantitative methods in finance and economics.
(https://link.springer.com/book/10.1007/978-3-031-74668-0Z)
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