Mathematics of Finance is a comprehensive book written by Henry Lewis Rietz in 1921. The book covers the fundamental principles of mathematics and their application in the field of finance. It provides a detailed explanation of various mathematical concepts and their relevance in financial calculations.The book is divided into several chapters, each covering a specific topic. The first chapter introduces the basic concepts of arithmetic, algebra, and geometry, which are necessary for understanding financial calculations. The subsequent chapters cover topics such as interest, annuities, bonds, stocks, and investment analysis.The book also includes numerous examples and exercises that help readers understand the concepts and apply them in real-world scenarios. The author has used a simple and straightforward language, making it easy for readers to follow and comprehend the content.Overall, Mathematics of Finance is a valuable resource for students, professionals, and anyone interested in understanding the mathematical principles that underlie financial calculations. The book provides a solid foundation for further study in the field of finance and is a must-read for anyone looking to improve their financial literacy.This scarce antiquarian book is a facsimile reprint of the old original and may contain some imperfections such as library marks and notations. Because we believe this work is culturally important, we have made it available as part of our commitment for protecting, preserving, and promoting the world's literature in affordable, high quality, modern editions, that are true to their original work.
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