
Basic Mathematics for Economists
Routledge (Publisher)
3rd Edition
Published on 22. March 2016
Book
Hardback
608 pages
978-0-415-48591-3 (ISBN)
Article exhausted; check for reprint
Description
Basic Mathematics for Economists, now in its 3rd edition, is a classic of its genre and this new edition builds on the success of previous editions. Suitable for students who may only have a basic mathematics background, as well as students who may have followed more advanced mathematics courses but who still want a clear explanation of fundamental concepts, this book covers all the basic tenets required for an understanding of mathematics and how it is applied in economics, finance and business.
Starting with revisions of the essentials of arithmetic and algebra, students are then taken through to more advanced topics in calculus, comparative statics, dynamic analysis, and matrix algebra, with all topics explained in the context of relevant applications,
New features in this third edition reflect the increased emphasis on finance in many economics and related degree courses, with fuller analysis of topics such as:
savings and pension schemes, including draw down pensions
asset valuation techniques for bond and share prices
the application of integration to concepts in economics and finance
input-output analysis, using spreadsheets to do matrix algebra calculations
In developing new topics the book never loses sight of their applied context and examples are always used to help explain analysis. This book is the most logical, user-friendly book on the market and is usable for mathematics of economics, finance and business courses in all countries.
Starting with revisions of the essentials of arithmetic and algebra, students are then taken through to more advanced topics in calculus, comparative statics, dynamic analysis, and matrix algebra, with all topics explained in the context of relevant applications,
New features in this third edition reflect the increased emphasis on finance in many economics and related degree courses, with fuller analysis of topics such as:
savings and pension schemes, including draw down pensions
asset valuation techniques for bond and share prices
the application of integration to concepts in economics and finance
input-output analysis, using spreadsheets to do matrix algebra calculations
In developing new topics the book never loses sight of their applied context and examples are always used to help explain analysis. This book is the most logical, user-friendly book on the market and is usable for mathematics of economics, finance and business courses in all countries.
Reviews / Votes
'This book is my go-to-guide for my intermediate microeconomics class. The author is able to explain well mathematical concepts which result in an extraordinary support to improve the mathematical ability of my students.' - Gloria L. Bernal, Assistant Professor, Economics Department at Pontificia Universidad Javeriana, ColumbiaMore details
Edition
3rd edition
Language
English
Place of publication
London
United Kingdom
Publishing group
Taylor & Francis Ltd
Target group
College/higher education
Illustrations
69 s/w Abbildungen, 69 s/w Zeichnungen, 46 s/w Tabellen
46 Tables, black and white; 69 Line drawings, black and white; 69 Illustrations, black and white
Dimensions
Height: 246 mm
Width: 174 mm
Weight
1340 gr
ISBN-13
978-0-415-48591-3 (9780415485913)
Copyright in bibliographic data and cover images is held by Nielsen Book Services Limited or by the publishers or by their respective licensors: all rights reserved.
Schweitzer Classification
Other editions
New editions

Piotr Lis | Mike Rosser
Basic Mathematics for Economists
Book
04/2025
4th Edition
Routledge
€290.17
Shipment within 10-20 days
Additional editions

Mike Rosser | Piotr Lis
Basic Mathematics for Economists
Book
03/2016
3rd Edition
Routledge
€133.91
Article exhausted; check for reprint
Persons
Mike Rosser is a former Principal Lecturer in Economics at Coventry University, UK.
Piotr Lis is a Senior Lecturer in Economics at Coventry University, UK.
Piotr Lis is a Senior Lecturer in Economics at Coventry University, UK.
Content
1. Introduction 2. Arithmetic 3. Introduction to algebra 4. Graphs and functions 5. Simultaneous linear equations 6. Quadratic equations 7. Financial mathematics - series, time and investment 8. Introduction to calculus 9. Unconstrained Optimization 10. Partial Differentiation 11. Constrained Optimization 12. Further topics in differentiation and integration 13. Dynamics and Difference Equations 14. Exponential functions, continuous growth and differential equations 15. Matrix algebra