Financial Mathematics
Cambridge Scholars Publishing
1st Edition
Published on 20. February 2024
Book
Paperback/Softback
290 pages
978-1-0364-0155-9 (ISBN)
Description
In the education of financiers and economists in all universities of the world, an important role belongs to mathematical disciplines. Among these disciplines financial mathematics occupies a very serious place, because it is the base for other disciplines such as corporate finance, financial management, investment, taxation, business valuation, ratings etc. This textbook contains information on financial mathematics, knowledge of which is necessary not only for every financier, but also for any competent economist of a wide profile (and especially for financial analysts).
This is intended for undergraduate and graduate students of all financial and economic fields and profiles, including Finance and Credit, Accounting and Auditing, Taxes and Taxation, World Economy, etc. It will be useful for specialists of all financial and economic specialties (and especially for financial analysts) and for everyone who wants to master quantitative methods in finance and economics.
This is intended for undergraduate and graduate students of all financial and economic fields and profiles, including Finance and Credit, Accounting and Auditing, Taxes and Taxation, World Economy, etc. It will be useful for specialists of all financial and economic specialties (and especially for financial analysts) and for everyone who wants to master quantitative methods in finance and economics.
More details
Language
English
ISBN-13
978-1-0364-0155-9 (9781036401559)
Schweitzer Classification
Other editions
Additional editions

Peter Brusov | Tatiana Filatova | Natali Orekhova
Financial Mathematics
Book
05/2023
Cambridge Scholars Publishing
€110.36
Shipment within 15-20 days
Persons
Peter Brusov is Professor of the Financial University under the Government of the Russian Federation as well as the Visiting Professor of Northwestern University (USA), Cornell University (USA), Osaka City University (Japan), Chung-Cheng University (Taiwan) and some others. He is the author of over 500 research publications, including six monographs, and many papers and textbooks. His expertise is in the area of financial mathematics, corporate finance, investments, taxation and rating.
Tatiana Filatova is Professor of the Financial University under the Government of the Russian Federation. She has been a Dean of a few Faculties: Financial Management, Management, State and Municipal Government and some others. She is the author of over 250 research publications, including five monographs, and numerous textbooks and papers. Her expertise is in the area of financial mathematics, financial management, corporate finance, investments, taxation and rating.
Natali Orekhova is Professor of the Financial University under the Government of the Russian Federation. She is the author of over 100 research publications, including five monographs, as well as a number of textbooks and papers. Her expertise is in the area of financial mathematics, financial management, corporate finance, investments, taxation and rating.
Tatiana Filatova is Professor of the Financial University under the Government of the Russian Federation. She has been a Dean of a few Faculties: Financial Management, Management, State and Municipal Government and some others. She is the author of over 250 research publications, including five monographs, and numerous textbooks and papers. Her expertise is in the area of financial mathematics, financial management, corporate finance, investments, taxation and rating.
Natali Orekhova is Professor of the Financial University under the Government of the Russian Federation. She is the author of over 100 research publications, including five monographs, as well as a number of textbooks and papers. Her expertise is in the area of financial mathematics, financial management, corporate finance, investments, taxation and rating.