Mathematics of Finance - Couverture rigide

Rietz, Henry Lewis; Crathorne, Arthur Robert; Rietz, J Charles

 
9781437235166: Mathematics of Finance

Synopsis

Mathematics Of Finance is a book written by Henry Lewis Rietz in 1921. The book provides a comprehensive introduction to the mathematical principles and techniques used in finance. The author covers topics such as interest rates, annuities, bonds, stocks, and options, and provides numerous examples and exercises to help readers understand the concepts. The book is written in a clear and concise manner, making it accessible to both students and professionals in the field of finance. It is a valuable resource for anyone looking to gain a deeper understanding of the mathematical foundations of finance.This scarce antiquarian book is a facsimile reprint of the old original and may contain some imperfections such as library marks and notations. Because we believe this work is culturally important, we have made it available as part of our commitment for protecting, preserving, and promoting the world's literature in affordable, high quality, modern editions, that are true to their original work.

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Présentation de l'éditeur

Originally published in 1921. This volume from the Cornell University Library's print collections was scanned on an APT BookScan and converted to JPG 2000 format by Kirtas Technologies. All titles scanned cover to cover and pages may include marks notations and other marginalia present in the original volume.

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