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Mathematics for Economics and Finance: Methods and Modelling

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About this book

Accessible, concise, and interactive, this book introduces the mathematical methods that are indispensable in economics and finance. Fully updated to be as student friendly as possible, this edition contains extensive problems, worked examples and exercises (with full solutions at the end of the book). Two brand new chapters cover coupled systems of recurrence/differential equations, and matrix diagonalisation. All topics are motivated by problems from economics and finance, demonstrating to students how they can apply the mathematical techniques covered. For undergraduate students of economics, mathematics, or both, this book will be welcomed for its clarity and breadth and the many opportunities it provides for readers to practise and test their understanding.

About the Author

Martin Anthony is Professor of Mathematics at the London School of Economics and Political Science, where he has been Head of Department and Vice-Chair of the Academic Board. He is the author of five books. Martin has been heavily involved in LSE's distance learning initiatives through the University of London International Programme and is a recipient of multiple LSE Teaching Excellence Awards.

Norman Biggs is Professor Emeritus in the Department of Mathematics at the London School of Economics and Political Science, where he was Head of Department and Vice-Chair of the Appointments Committee. He is the author of thirteen books, including 'Discrete Mathematics' (Second Edition, 2002). He previously served as General Secretary of the London Mathematical Society.

Author Martin Anthony, Norman Biggs
ISBN-13 9781108592970
Publisher Cambridge University Press
Publication Date 05/30/2024

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