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Mathematics of Economics and Business
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Year: 2006 Publisher: London : Taylor & Francis,

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For all students who wish to understand current economic and business literature, knowledge of mathematical methods has become a prerequisite. Clear and concise, with precise definitions and theorems, Werner and Sotskov cover all the major topics required to gain a firm grounding in this subject including sequences, series, applications in finance, functions, differentiations, differentials and difference equations, optimizations with and without constraints, integrations and much more. Containing exercises and worked examples, precise definitions and theorems as well as economic applications, this book provides the reader with a comprehensive understanding of the mathematical models and tools used in both economics and business.


Book
Mathematics of Economics and Business
Authors: ---
Year: 2006 Publisher: London : Taylor & Francis,

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Abstract

For all students who wish to understand current economic and business literature, knowledge of mathematical methods has become a prerequisite. Clear and concise, with precise definitions and theorems, Werner and Sotskov cover all the major topics required to gain a firm grounding in this subject including sequences, series, applications in finance, functions, differentiations, differentials and difference equations, optimizations with and without constraints, integrations and much more. Containing exercises and worked examples, precise definitions and theorems as well as economic applications, this book provides the reader with a comprehensive understanding of the mathematical models and tools used in both economics and business.


Book
Mathematics of Economics and Business
Authors: ---
Year: 2006 Publisher: London : Taylor & Francis,

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Abstract

For all students who wish to understand current economic and business literature, knowledge of mathematical methods has become a prerequisite. Clear and concise, with precise definitions and theorems, Werner and Sotskov cover all the major topics required to gain a firm grounding in this subject including sequences, series, applications in finance, functions, differentiations, differentials and difference equations, optimizations with and without constraints, integrations and much more. Containing exercises and worked examples, precise definitions and theorems as well as economic applications, this book provides the reader with a comprehensive understanding of the mathematical models and tools used in both economics and business.


Book
Repeated games and reputations : long-run relationships
Authors: ---
ISBN: 128116285X 9786611162856 0198041217 1429440279 Year: 2006 Publisher: Oxford : Oxford University Press,

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Provides a complete treatment of the theory of repeated games and reputations, beginning with the elementary concepts required to work with repeated games and continuing to research frontier. This book is for those doing basic research in the theory of repeated games and reputations as well as those using these tools in more applied research.

Infinite dimensional analysis : a hitchhiker's guide
Authors: ---
ISBN: 9783540326960 3540326960 Year: 2006 Publisher: Berlin: Springer,

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Einführung in die Finanzmathematik : Klassische Verfahren und neuere Entwicklungen: Effektivzins- und Renditeberechnung, Investitionsrechnung, Derivative Finanzinstrumente
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ISBN: 3834890022 Year: 2006 Publisher: Wiesbaden : Vieweg+Teubner Verlag : Imprint: Vieweg+Teubner Verlag,

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Dieses Buch - eigenständige Ergänzung zur "Einführung in die angewandte Wirtschaftsmathematik" - behandelt zunächst die klassischen Verfahren der Finanzmathematik (einschließlich Investitionen) unter konsequenter Ausrichtung auf das übergeordnete Äquivalenzprinzip der Finanzmathematik. Ein besonderer Schwerpunkt liegt in der Behandlung der - immer wieder lebhaft diskutierten - unterschiedlichen Effektivzinsberechnungsverfahren in der Praxis und der daraus abgeleiteten Aspekte zur "richtigen" Verzinsung von Kapital. Elemente der Risikoanalyse und der derivativen Finanzinstrumente erweitern den klassischen Teil um moderne finanzmathematische Aspekte. Die - insbesondere für das Selbststudium konzipierte - Darstellung wird durch Hunderte von Beispielen und Übungsaufgaben unterstützt, die ein solides Verständnis und die sichere Beherrschung des finanzmathematischen Instrumentariums und seiner vielfältigen praktischen Anwendungen ermöglichen. Zu diesem Buch gibt es ein passendes Übungsbuch mit Lösungshinweisen, Erklärungen und Ergebnissen und zusätzlichen Testklausuren. Der Text wurde für die 8. Auflage erneut sorgfältig durchgesehen und in vielen Details verbessert.


Book
Kreditderivate und Kreditrisikomodelle : Eine mathematische Einführung
Authors: --- ---
ISBN: 3834891444 Year: 2006 Publisher: Wiesbaden : Vieweg+Teubner Verlag : Imprint: Vieweg+Teubner Verlag,

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Ein einführendes Lehrbuch, dessen Adressaten Studierende und Praktiker sind. Die Autoren gehen dabei einen Mittelweg zwischen Theorie und praktischer Anwendung von Kreditderivaten und Kreditrisikomodellen. Thematisch werden die für das tägliche Bankgeschäft relevanten Aspekte angesprochen. Für Praktiker bietet das Werk eine systematische Darstellung der methodischen Grundlagen ihrer täglichen Arbeit, z.B. in Bezug auf die Implementierung von Risikomesssystemen oder die Bewertung von Single Tranche CDO Swaps auf liquide Kreditindizes der iTraxx- oder CDX-Indexfamilie unter Berücksichtigung des Skews der Basiskorrelationen.

An introduction to the economic theory of market behavior : microeconomics from a Walrasian perspective.
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ISBN: 9781845425104 Year: 2006 Publisher: Cheltenham Elgar

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Théorie des jeux
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ISBN: 2297000324 9782297000321 Year: 2006 Publisher: Paris: Gualino,

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NBER macroeconomics annual
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ISSN: 08893365 ISBN: 026227373X 1429477121 9780262273732 0262072726 9780262072724 9781429477123 Year: 2006 Publisher: Cambridge, MA : MIT Press,

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This 20th edition of the NBER Macroeconomics Annual treats many questions at the cutting edge of macroeconomics that are central to current policy debates. The papers and discussions include an analysis of the differential between American and European unemployment rates, with the authors of the paper taking issue with Edward Prescott's view that higher European tax rates are responsible; a provocative account of the relationship between fluctuations in the hiring rate of new workers and the U.S. unemployment rate; an analysis of the 20-year decline in aggregate volatility (and the rise in firm volatility); a model that compares the effectiveness of monetary policy that targets inflation rates to one that targets simple wage inflation; a roadmap to using Bayesian approaches in solving empirical puzzles; and a microeconomic model that shows the desirability of maintaining a stable inflation rate even in isolated situations that would seem to call for a more flexible policy toward inflation.

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