Problems in the Mathematical Theory of Investment (Classic Reprint)
Language: English
Published by Forgotten Books, 2018
- Softcover
- New



Seller: Forgotten Books, London, United KingdomForgotten Books
AbeBooks seller since June 2, 2021
Condition: New
US$ 17.29
Quantity: Over 20 available
Add to basketItem description from seller
Print on Demand. This book illuminates the mathematical theory of investment, providing a comprehensive analysis of how to effectively manage finances. The author, drawing from a wealth of practical problems encountered in the field, presents a cohesive framework for understanding the complexities of investing. The text meticulously examines the interplay between single payments, annuities, and compound interest, laying bare the intricate mechanisms behind financial transactions. By deftly intertwining clear explanations with accessible formulas, the author unravels the mysteries of topics such as amortization of debts, sinking funds, capitalized cost, and bond valuation. Enriching this analysis are solved problems that offer invaluable guidance in applying the theory to real-world scenarios. Through the author's expert exploration, readers gain a profound comprehension of the mathematical principles underlying sound investment strategies, empowering them to navigate the financial landscape with confidence and discernment. This book is a reproduction of an important historical work, digitally reconstructed using state-of-the-art technology to preserve the original format. In rare cases, an imperfection in the original, such as a blemish or missing page, may be replicated in the book.…
Seller Inventory # 9781330068441_0
- Title
- Problems in the Mathematical Theory of Investment (Classic Reprint)
- Author
- Guy Roger Clements
- Publisher
- Forgotten Books
- Publication year
- 2018
- Condition
- New
- Book Type
- print-on-demand item
- Binding
- Paperback
- Language
- English
- ISBN 10
- 1330068440
- ISBN 13
- 9781330068441
- Seller catalogs
- Accounting
Master the math behind practical investing with to-the-point problems and clear solutions.
This book presents a wide range of real-world financial scenarios, from loan payments and sinking funds to depreciation, capitalized costs, and investment plans. Designed for readers who want actionable techniques, it guides you through the calculations that underlie decisions in finance and economics.
Each chapter frames a challenge, then shows how to set up the math, choose the right method, and interpret the results. The approachable style focuses on core ideas you can apply to budgeting, asset replacement, and long‑term planning—without unnecessary theory or jargon. The material is rooted in practical problems, making it a useful companion for students, professionals, and anyone who wants a firm grip on investment mathematics.
- Learn to compare costs and benefits across different investment plans using present value and capitalized cost concepts.
- Work with loans, annuities, sinking funds, depreciation, and amortization to forecast payments and balances.
- Understand how interest rates, time, and replacement cycles affect long-term decisions.
- Practice with a broad set of scenarios to build confidence in applying math to investing questions.
Ideal for readers of finance, economics, and applied mathematics who want hands‑on problem solving and clear, usable results.
"Synopsis" may belong to another edition of this title.
Forgotten Books
London, United Kingdom
AbeBooks seller since June 2, 2021
Shipping rates from United Kingdom to U.S.A.
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Forgotten Books’ Classic Reprint Series utilizes the latest technology to regenerate facsimiles of historically important writings. Careful attention has been made to accurately preserve the original format of each page whilst digitally enhancing the quality of the aged text.
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