Mathematics for Financial Analysis

by Michael Gartenberg

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Description

Mathematics for Financial Analysis focuses on the application of mathematics in financial analysis, including applications of differentiation, logarithmic functions, and compounding. The publication first ponders on equations and graphs, vectors and matrices, and linear programming. Discussions focus on duality and minimization problems, systems of linear inequalities, linear programs, matrix inversion, properties of matrices and vectors, vector products, equations and graphs, higher dimensional