Mathematics and Statistics for Business, Management and Finance

Mathematics and Statistics for Business, Management and Finance
Title Mathematics and Statistics for Business, Management and Finance PDF eBook
Author Louise Swift
Publisher
Pages 930
Release 1997
Genre Business Mathematics
ISBN 9780333625576

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This new text presents Mathematics and Statistics in a user friendly approach designed to meet the needs of students taking introductory courses in business, accountancy, finance and economics. A section is included to support students with weaker or rusty mathematics and provide additional reinforcement for stronger students. Every topic is illustrated using a selection of applications from business, management and finance. The text includes accessible treatment of all the ideas and concepts relevant to students in these areas of study.

Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management
Title Mathematics and Statistics for Financial Risk Management PDF eBook
Author Michael B. Miller
Publisher John Wiley & Sons
Pages 341
Release 2013-12-31
Genre Business & Economics
ISBN 1118750292

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Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now in its second edition with more topics, more sample problems and more real world examples, this popular guide to financial risk management introduces readers to practical quantitative techniques for analyzing and managing financial risk. In a concise and easy-to-read style, each chapter introduces a different topic in mathematics or statistics. As different techniques are introduced, sample problems and application sections demonstrate how these techniques can be applied to actual risk management problems. Exercises at the end of each chapter and the accompanying solutions at the end of the book allow readers to practice the techniques they are learning and monitor their progress. A companion Web site includes interactive Excel spreadsheet examples and templates. Mathematics and Statistics for Financial Risk Management is an indispensable reference for today’s financial risk professional.

Methods and Applications of Statistics in Business, Finance, and Management Science

Methods and Applications of Statistics in Business, Finance, and Management Science
Title Methods and Applications of Statistics in Business, Finance, and Management Science PDF eBook
Author Narayanaswamy Balakrishnan
Publisher John Wiley & Sons
Pages 735
Release 2010-07-13
Genre Mathematics
ISBN 0470405104

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Inspired by the Encyclopedia of Statistical Sciences, Second Edition, this volume presents the tools and techniques that are essential for carrying out best practices in the modern business world The collection and analysis of quantitative data drives some of the most important conclusions that are drawn in today's business world, such as the preferences of a customer base, the quality of manufactured products, the marketing of products, and the availability of financial resources. As a result, it is essential for individuals working in this environment to have the knowledge and skills to interpret and use statistical techniques in various scenarios. Addressing this need, Methods and Applications of Statistics in Business, Finance, and Management Science serves as a single, one-of-a-kind resource that guides readers through the use of common statistical practices by presenting real-world applications from the fields of business, economics, finance, operations research, and management science. Uniting established literature with the latest research, this volume features classic articles from the acclaimed Encyclopedia of Statistical Sciences, Second Edition along with brand-new contributions written by today's leading academics and practitioners. The result is a compilation that explores classic methodology and new topics, including: Analytical methods for risk management Statistical modeling for online auctions Ranking and selection in mutual funds Uses of Black-Scholes formula in finance Data mining in prediction markets From auditing and marketing to stock market price indices and banking, the presented literature sheds light on the use of quantitative methods in research relating to common financial applications. In addition, the book supplies insight on common uses of statistical techniques such as Bayesian methods, optimization, simulation, forecasting, mathematical modeling, financial time series, and data mining in modern research. Providing a blend of traditional methodology and the latest research, Methods and Applications of Statistics in Business, Finance, and Management Science is an excellent reference for researchers, managers, consultants, and students in the fields of business, management science, operations research, supply chain management, mathematical finance, and economics who must understand statistical literature and carry out quantitative practices to make smart business decisions in their everyday work.

Quantitative Techniques in Business, Management and Finance

Quantitative Techniques in Business, Management and Finance
Title Quantitative Techniques in Business, Management and Finance PDF eBook
Author Umeshkumar Dubey
Publisher CRC Press
Pages 573
Release 2016-11-25
Genre Mathematics
ISBN 1315350076

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This book is especially relevant to undergraduates, postgraduates and researchers studying quantitative techniques as part of business, management and finance. It is an interdisciplinary book that covers all major topics involved at the interface between business and management on the one hand and mathematics and statistics on the other. Managers and others in industry and commerce who wish to obtain a working knowledge of quantitative techniques will also find this book useful.

Statistics and Data Analysis for Financial Engineering

Statistics and Data Analysis for Financial Engineering
Title Statistics and Data Analysis for Financial Engineering PDF eBook
Author David Ruppert
Publisher Springer
Pages 736
Release 2015-04-21
Genre Business & Economics
ISBN 1493926144

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The new edition of this influential textbook, geared towards graduate or advanced undergraduate students, teaches the statistics necessary for financial engineering. In doing so, it illustrates concepts using financial markets and economic data, R Labs with real-data exercises, and graphical and analytic methods for modeling and diagnosing modeling errors. These methods are critical because financial engineers now have access to enormous quantities of data. To make use of this data, the powerful methods in this book for working with quantitative information, particularly about volatility and risks, are essential. Strengths of this fully-revised edition include major additions to the R code and the advanced topics covered. Individual chapters cover, among other topics, multivariate distributions, copulas, Bayesian computations, risk management, and cointegration. Suggested prerequisites are basic knowledge of statistics and probability, matrices and linear algebra, and calculus. There is an appendix on probability, statistics and linear algebra. Practicing financial engineers will also find this book of interest.

Statistics for Business and Financial Economics

Statistics for Business and Financial Economics
Title Statistics for Business and Financial Economics PDF eBook
Author Cheng F. Lee
Publisher World Scientific
Pages 1124
Release 2000
Genre Business & Economics
ISBN 9789810234850

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This text integrates various statistical techniques with concepts from business, economics and finance, and demonstrates the power of statistical methods in the real world of business. This edition places more emphasis on finance, economics and accounting concepts with updated sample data.

Mathematics for Finance, Business and Economics

Mathematics for Finance, Business and Economics
Title Mathematics for Finance, Business and Economics PDF eBook
Author Irénée Dondjio
Publisher Routledge
Pages 201
Release 2019-12-11
Genre Business & Economics
ISBN 1000035891

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Mastering the basic concepts of mathematics is the key to understanding other subjects such as Economics, Finance, Statistics, and Accounting. Mathematics for Finance, Business and Economics is written informally for easy comprehension. Unlike traditional textbooks it provides a combination of explanations, exploration and real-life applications of major concepts. Mathematics for Finance, Business and Economics discusses elementary mathematical operations, linear and non-linear functions and equations, differentiation and optimization, economic functions, summation, percentages and interest, arithmetic and geometric series, present and future values of annuities, matrices and Markov chains. Aided by the discussion of real-world problems and solutions, students across the business and economics disciplines will find this textbook perfect for gaining an understanding of a core plank of their studies.