Mathematics for Economics and Finance: Methods and Modelling

by Martin Anthony and Norman Biggs

0 ratings • 0 reviews • 0 shelved
Book cover for Mathematics for Economics and Finance

Bookhype may earn a small commission from qualifying purchases. Full disclosure.

Mathematics has become indispensable in the modelling of economics, finance, business and management. Without expecting any particular background of the reader, this book covers the following mathematical topics, with frequent reference to applications in economics and finance: functions, graphs and equations, recurrences (difference equations), differentiation, exponentials and logarithms, optimisation, partial differentiation, optimisation in several variables, vectors and matrices, linear equations, Lagrange multipliers, integration, first-order and second-order differential equations. The stress is on the relation of maths to economics, and this is illustrated with copious examples and exercises to foster depth of understanding. Each chapter has three parts: the main text, a section of further worked examples and a summary of the chapter together with a selection of problems for the reader to attempt. For students of economics, mathematics, or both, this book provides an introduction to mathematical methods in economics and finance that will be welcomed for its clarity and breadth.
  • ISBN13 9780521551137
  • Publish Date 13 July 1996
  • Publish Status Inactive
  • Out of Print 1 March 2005
  • Publish Country GB
  • Imprint Cambridge University Press
  • Format Hardcover
  • Pages 410
  • Language English