Description
The book explains the basic mathematical procedures associated with the most significant financial products and instruments. The main advantages are the brevity and clarity of the book. This allows the reader to understand financial mathematics without having to spend too much time studying. It serves as a reliable guide for both beginners who want to familiarize themselves with basic financial calculations and for more advanced readers seeking explanations of more complex financial-mathematical procedures. The first part of the book explains the mathematical methods and procedures used in finance, while the second part focuses on their specific application to all important banking and financial products (e.g., current accounts, savings, mortgage loans, consumer loans, bill transactions, factoring and forfaiting, bonds, stocks, foreign exchange transactions, financial futures). The explanations, demonstrated through a series of concrete examples, will allow for easy practical application both in financial decision-making in business and in managing personal finances.
Information
Author: group of authors, Radová Jarmila
Language: Czech
Publication date: August 30, 2013
Manufacturer: GRADA Publishing, a. s.
Genres: Economics, Finance and investing, Books, Specialized and technical literature, Social sciences
Type: Books - paperback
Pages: 304
ISBN/EAN: 9788024748313

