Martin
Mathematics for Economics and Finance: Methods and Modelling
- ISBN 13:
- 9781108459433
- author:
- Martin
- format:
- Paperback
- publisher:
- Cambridge University Press
- language:
- English
- Publication Year:
- 2024
- Pages:
- 436
- Dimensions:
- 24.4 x 17.2 x 2 centimetres (0.8
- Genre:
- Business, Finance, General,
- Condition:
- New
- Availability:
- Item usually sent within 10 working days
Description
Mathematics for Economics and Finance: A Comprehensive Guide This book provides an accessible introduction to the mathematical methods essential in economics and finance. With extensive problems, worked examples, and exercises, it offers students numerous opportunities to practise and test their understanding. The second edition has been fully updated to be as student-friendly as possible, with two new chapters covering coupled systems of recurrence/differential equations and matrix diagonalisation. All topics are motivated by real-world economic and financial problems, demonstrating how mathematical techniques can be applied in practice. Suitable for undergraduate students of economics, mathematics, or both, this book offers clarity and breadth, making it an ideal resource for those looking to develop their analytical skills.