
FINANCIAL MATHEMATICS. THEORY AND PRACTICE - MAGDALENA REDO, PIOTR PREWYSZ-KWINTO
Discover the fascinating world of financial mathematics with a book that combines theory and practice! This publication is the ideal solution for anyone who wants to understand the intricacies of finance and make informed investment decisions. Whether you are a student, professional, or simply someone interested in finance, this book will provide you with the necessary knowledge and tools.
- Practical application: Understanding and using financial mathematics in everyday decisions.
- For everyone: Both for students and professionals in the financial industry.
- Comprehensive knowledge: From theory to practical examples and analyses.
- Investment support: Help in making optimal financial decisions.
- Exam preparation: Ideal for candidates for securities brokers, investment advisors and other specialists.
- Up-to-date knowledge: Latest trends and methods in financial mathematics.
The book "Financial Mathematics - Theory and Practice" was created on the basis of many years of professional and teaching experience of the authors, who decided to create a study presenting in an easy and accessible way the intricate issues of financial mathematics, while showing their practical dimension and the possibility of their use in everyday financial decisions. It is a compendium of knowledge that combines theory and practice, enabling the reader to understand and use financial mathematics in the real world.
This publication is intended for anyone who already invests money or would like to do so in the future, who needs capital and plans to obtain it. The information contained in it will help you understand the financial dependencies surrounding us and make optimal decisions. It can be used by both students of economics and mathematics. The presented content may also be useful for people professionally involved in finance or investment advice, especially for employees employed in the banking and insurance sectors.
The book will also be invaluable for candidates preparing for the examinations organized by the Financial Supervision Authority for securities brokers, investment advisors, insurance and reinsurance brokers, actuaries or mortgage credit intermediaries. Thanks to it, you will gain a solid theoretical and practical foundation that will allow you to successfully pass the exams and start a career in the financial industry.
Wydawnictwo Naukowe PWN is a guarantee of high quality and reliability. The book has been carefully prepared and edited to provide the reader with maximum comfort and learning efficiency. The 232x169 mm format and paperback binding make the book convenient to use and easy to carry. The number of pages: 496 provides a comprehensive coverage of all issues related to financial mathematics.
Specifications
| Author | Magdalena Redo, Piotr Prewysz-Kwinto |
| Publisher | Wydawnictwo Naukowe PWN |
| ISBN | 9788301216566 |
| Binding | broszurowa |
| Number of pages | 496 |
| Format | 232x169 mm |
Financial mathematics theory and practice - Magdalena Redo, Piotr Prewysz-Kwinto - ideal reading
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EAN: 9788301216566
