Economic and Financial Modeling with Mathematica (R) - Hal R Varian - Books - Springer-Verlag New York Inc. - 9781475722833 - January 28, 2014
In case cover and title do not match, the title is correct

Economic and Financial Modeling with Mathematica (R) Softcover reprint of the original 1st ed. 1993 edition

Price
$ 53.99
excl. VAT

Ordered from remote warehouse

Expected to be ready for shipping Jul 8 - 14
Add to your iMusic wish list

Description for Sales People: Modeling in Economics and Finance with Mathematica is edited and partially authored by a well-known textbook book writer in Economics, Hal Varian, Dept. of Econ omics, U. of Michigan. His books published with W. W. Norton have enjoyed success for more than a decade. Varian now parlays that writing ability by coordinating the publication of this new contribution and adding it to the growing library of publications surrounding the phenomenal "Mathematica" software and mathematical computing system authored by Stephen Wolfram. Economists, stock brokers, budgeters and financial analysts have been asking for such a "hands on" package for years. This accessible, authoritative guide will be the solution they've been waiting for!

Contributor Bio:  Varian, Hal R Hal R. Varian is the chief economist at Google.


458 pages, 107 black & white illustrations, biography

Media Books     Paperback Book   (Book with soft cover and glued back)
Released January 28, 2014
ISBN13 9781475722833
Publishers Springer-Verlag New York Inc.
Pages 458
Dimensions 170 × 244 × 25 mm   ·   762 g
Language English  
Editor Varian, Hal R.

More by Hal R Varian

Show all

Mere med samme udgiver