Financial Mathematics in Investment Design

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The book "Financial Mathematics in Investment Design" by A. F. Dolgopolova is an indispensable guide for all who seek to better understand the world of financial investment and learn how to effectively manage projects. In a rapidly changing economic environment, where every decision can have a significant impact on business success, this publication becomes a real find for both students and practitioners. Author, A. F. Dolgopolov is a well-known expert in the field of finance and investment design, who shares his experience and knowledge in an accessible and understandable form. His writing style is clear and logical, which allows readers to easily absorb even the most complex concepts. Dolgopolov is also the author of other popular works, such as "Fundamentals of financial analysis" and "Investment Management", which confirms his deep understanding of the subject and a high level of professionalism. The book covers a wide range of topics, ranging from the basics of financial mathematics to complex methods of evaluating investment projects. Readers will be able to learn about key concepts such as net present value, internal rate of return and payback period. Each chapter is illustrated with practical examples and tasks, which allows not only to theoretically master the material, but also to apply it in practice. This makes the book particularly useful for economics students, graduate students, and young professionals seeking to develop their careers in finance and investment. The topics raised in the book are relevant to many who are interested in economics, business, and financial markets. In the context of globalization and instability of the economic situation, the ability to correctly assess investment risks and opportunities is becoming an important skill. Dolgopolov not only explains mathematical models, but also focuses on their practical application, which makes the book a valuable resource for managers, analysts and entrepreneurs. The book will be of interest not only to professional financiers, but also to those who are just starting their way in the world of investment. If you are looking for information on how to properly evaluate projects, how to minimize risks and how to make informed decisions, then “Financial Mathematics in Investment Design” is what you need. It will be a great addition to the library of anyone who wants to be one step ahead in the business world. Readers interested in topics related to investment, finance, and economics may also pay attention to works such as "Investment: Analysis and Management" and "Fundamentals of Financial Management". These books will help expand the horizons of knowledge and deepen understanding of financial instruments. In conclusion, “Financial Mathematics in Investment Design” is not just a textbook, but a real find for anyone who wants to confidently walk the path of financial success. Combining theory and practice, A. F. Dolgopolov creates a unique work that will become a reliable assistant for everyone who seeks professional growth in the field of finance and investment. Do not miss the opportunity to enrich your knowledge and skills with this book!
LF/721237118/R
Data sheet
- Name of the Author
- А.Ф.
Долгополова - Language
- Russian