語系:
繁體中文
English
說明(常見問題)
登入
回首頁
切換:
標籤
|
MARC模式
|
ISBD
Illustrating Finance Policy with Mat...
~
SpringerLink (Online service)
Illustrating Finance Policy with Mathematica
紀錄類型:
書目-語言資料,印刷品 : Monograph/item
正題名/作者:
Illustrating Finance Policy with Mathematica/ by Nicholas L. Georgakopoulos.
作者:
Georgakopoulos, Nicholas L.
面頁冊數:
XXXV, 226 p. 55 illus.online resource. :
Contained By:
Springer Nature eBook
標題:
Economic theory. -
電子資源:
https://doi.org/10.1007/978-3-319-95372-4
ISBN:
9783319953724
Illustrating Finance Policy with Mathematica
Georgakopoulos, Nicholas L.
Illustrating Finance Policy with Mathematica
[electronic resource] /by Nicholas L. Georgakopoulos. - 1st ed. 2018. - XXXV, 226 p. 55 illus.online resource. - Quantitative Perspectives on Behavioral Economics and Finance,2662-3986. - Quantitative Perspectives on Behavioral Economics and Finance,.
1. The Non-Graphical Foundation: Coase and the Law’s Irrelevance -- 2. Introduction to Mathematica: Hello World in Text and Graphics -- 3. The Mathematical Frontier: Trigonometry, Derivatives, Optima, Differential Equations -- 4. Money and Time -- 5. The Capital Asset Pricing Model -- 6. Options -- 7. Illustrating Statistical Data -- 8. Probability Theory: Imperfect Observations -- 9. Financial Statements and Mergers -- 10. Aversion to Risk -- 11. Financial Crisis Contagion.
Students in various disciplines—from law and government to business and health policy—need to understand several quantitative aspects of finance (such as the capital asset pricing model or financial options) and policy analysis (e.g., assessing the weight of probabilistic evidence) but often have little quantitative background. This book illustrates those phenomena and explains how to illustrate them using the powerful visuals that computing can produce. Of particular interest to graduate students and scholars in need of sharper quantitative methods, this book introduces the reader to Mathematica, enables readers to use Mathematica to produce their own illustrations, and places specific emphasis on finance and policy as well as the foundations of probability theory.
ISBN: 9783319953724
Standard No.: 10.1007/978-3-319-95372-4doiSubjects--Topical Terms:
809881
Economic theory.
LC Class. No.: HB1-846.8
Dewey Class. No.: 330.1
Illustrating Finance Policy with Mathematica
LDR
:02695nam a22004095i 4500
001
989715
003
DE-He213
005
20200704091055.0
007
cr nn 008mamaa
008
201225s2018 gw | s |||| 0|eng d
020
$a
9783319953724
$9
978-3-319-95372-4
024
7
$a
10.1007/978-3-319-95372-4
$2
doi
035
$a
978-3-319-95372-4
050
4
$a
HB1-846.8
072
7
$a
KCA
$2
bicssc
072
7
$a
BUS069030
$2
bisacsh
072
7
$a
KCA
$2
thema
082
0 4
$a
330.1
$2
23
100
1
$a
Georgakopoulos, Nicholas L.
$4
aut
$4
http://id.loc.gov/vocabulary/relators/aut
$3
801172
245
1 0
$a
Illustrating Finance Policy with Mathematica
$h
[electronic resource] /
$c
by Nicholas L. Georgakopoulos.
250
$a
1st ed. 2018.
264
1
$a
Cham :
$b
Springer International Publishing :
$b
Imprint: Palgrave Macmillan,
$c
2018.
300
$a
XXXV, 226 p. 55 illus.
$b
online resource.
336
$a
text
$b
txt
$2
rdacontent
337
$a
computer
$b
c
$2
rdamedia
338
$a
online resource
$b
cr
$2
rdacarrier
347
$a
text file
$b
PDF
$2
rda
490
1
$a
Quantitative Perspectives on Behavioral Economics and Finance,
$x
2662-3986
505
0
$a
1. The Non-Graphical Foundation: Coase and the Law’s Irrelevance -- 2. Introduction to Mathematica: Hello World in Text and Graphics -- 3. The Mathematical Frontier: Trigonometry, Derivatives, Optima, Differential Equations -- 4. Money and Time -- 5. The Capital Asset Pricing Model -- 6. Options -- 7. Illustrating Statistical Data -- 8. Probability Theory: Imperfect Observations -- 9. Financial Statements and Mergers -- 10. Aversion to Risk -- 11. Financial Crisis Contagion.
520
$a
Students in various disciplines—from law and government to business and health policy—need to understand several quantitative aspects of finance (such as the capital asset pricing model or financial options) and policy analysis (e.g., assessing the weight of probabilistic evidence) but often have little quantitative background. This book illustrates those phenomena and explains how to illustrate them using the powerful visuals that computing can produce. Of particular interest to graduate students and scholars in need of sharper quantitative methods, this book introduces the reader to Mathematica, enables readers to use Mathematica to produce their own illustrations, and places specific emphasis on finance and policy as well as the foundations of probability theory.
650
0
$a
Economic theory.
$3
809881
650
0
$a
Economics, Mathematical .
$3
1253712
650
0
$a
Public finance.
$2
bicssc
$3
809028
650
0
$a
Law and economics.
$3
560301
650
0
$a
Capital market.
$3
556702
650
0
$a
Commercial law.
$3
560158
650
1 4
$a
Economic Theory/Quantitative Economics/Mathematical Methods.
$3
1069071
650
2 4
$a
Quantitative Finance.
$3
669372
650
2 4
$a
Financial Law/Fiscal Law.
$3
669471
650
2 4
$a
Law and Economics.
$3
669261
650
2 4
$a
Capital Markets.
$3
1106532
650
2 4
$a
Commercial Law.
$3
669651
710
2
$a
SpringerLink (Online service)
$3
593884
773
0
$t
Springer Nature eBook
776
0 8
$i
Printed edition:
$z
9783319953717
776
0 8
$i
Printed edition:
$z
9783319953731
776
0 8
$i
Printed edition:
$z
9783030070229
830
0
$a
Quantitative Perspectives on Behavioral Economics and Finance,
$x
2662-3986
$3
1266967
856
4 0
$u
https://doi.org/10.1007/978-3-319-95372-4
912
$a
ZDB-2-ECF
912
$a
ZDB-2-SXEF
950
$a
Economics and Finance (SpringerNature-41170)
950
$a
Economics and Finance (R0) (SpringerNature-43720)
筆 0 讀者評論
多媒體
評論
新增評論
分享你的心得
Export
取書館別
處理中
...
變更密碼[密碼必須為2種組合(英文和數字)及長度為10碼以上]
登入