Mathematics for Economics and Finance: Methods and Modelling
by Martin Anthony, Norman Biggs
Mathematics for Economics and Finance: Methods and Modelling by Martin Anthony and Norman Biggs delivers core mathematical techniques for economic and financial applications. This used book in good condition supports modeling and analysis, building essential quantitative skills for students and practitioners in the field.
About This Book
Mathematics for Economics and Finance: Methods and Modelling offers a focused exploration of mathematical tools relevant to economic and financial analysis. Authored by Martin Anthony and Norman Biggs, it emphasizes practical applications in modeling economic scenarios.
The content is structured to build foundational skills in quantitative methods, making complex concepts accessible for learners. It covers key areas such as optimization, differential equations, and statistical modeling tailored to economic contexts.
As a used book in good condition, this edition remains a reliable reference for academic and professional use. Its approach integrates theory with real-world financial modeling, supporting deeper understanding in the discipline.
Ideal for undergraduate and graduate studies, the book aids in developing analytical skills essential for economics and finance careers. It provides clear explanations and examples to facilitate learning.
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