Investment Science

Investment Science

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Fueled In Part By Some Extraordinary Theoretical Developments In Finance, An Explosive Growth Of Information And Computing Technology, And The Global Expansion Of Investment Activity, Investment Theory Currently Commands A High Level Of Intellectual Attention. Recent Developments In The Field Are Being Infused Into University Classrooms, Financial Service Organizations, Business Ventures, And Into The Awareness Of Many Individual Investors. Modern Investment Theory Using The Language Of Mathematics Is Now An Essential Aspect Of Academic And Practitioner Training.Representing A Breakthrough In The Organization Of Finance Topics, Investment Science Will Be An Indispensable Tool In Teaching Modern Investment Theory. It Presents Sound Fundamentals And Shows How Real Problems Can Be Solved With Modern, Yet Simple, Methods. David Luenberger Gives Thorough Yet Highly Accessible Mathematical Coverage Of Standard And Recent Topics Of Introductory Investments: Fixedincome Securities, Modern Portfolio Theory And Capital Asset Pricing Theory, Derivatives (Futures, Options, And Swaps), And Innovations In Optimal Portfolio Growth And Valuation Of Multiperiod Risky Investments. Throughout The Book, He Uses Mathematics To Present Essential Ideas Of Investments And Their Applications In Business Practice. The Creative Use Of Binomial Lattices To Formulate And Solve A Wide Variety Of Important Finance Problems Is A Special Feature Of The Book.In Moving From Fixedincome Securities To Derivatives, Luenberger Increases Naturally The Level Of Mathematical Sophistication, But Never Goes Beyond Algebra, Elementary Statistics/Probability, And Calculus. He Includes Appendices On Probability And Calculus At The End Of The Book For Student Reference. Creative Examples And Endofchapter Exercises Are Also Included To Provide Additional Applications Of Principles Given In The Text.Ideal For Investment Or Investment Management Courses In Finance, Engineering Economics, Operations Research, And Management Science Departments, Investment Science Has Been Successfully Classtested At Boston University, Stanford University, And The University Of Strathclyde, Scotland, And Used In Several Firms Where Knowledge Of Investment Principles Is Essential. Executives, Managers, Financial Analysts, And Project Engineers Responsible For Evaluation And Structuring Of Investments Will Also Find The Book Beneficial. The Methods Described Are Useful In Almost Every Field, Including Hightechnology, Utilities, Financial Service Organizations, And Manufacturing Companies.

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Shipping & Returns

Shipping
We ship your order within 2–3 business days for USA deliveries and 5–8 business days for international shipments. Once your package has been dispatched from our warehouse, you'll receive an email confirmation with a tracking number, allowing you to track the status of your delivery.

Returns
To facilitate a smooth return process, a Return Authorization (RA) Number is required for all returns. Returns without a valid RA number will be declined and may incur additional fees. You can request an RA number within 15 days of the original delivery date. For more details, please refer to our Return & Refund Policy page.

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Warranty

We provide a 2-year limited warranty, from the date of purchase for all our products.

If you believe you have received a defective product, or are experiencing any problems with your product, please contact us.

This warranty strictly does not cover damages that arose from negligence, misuse, wear and tear, or not in accordance with product instructions (dropping the product, etc.).

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Frequently Asked Questions

  • Q: What is the main focus of 'Investment Science'? A: 'Investment Science' primarily focuses on modern investment theory, integrating mathematical principles to address real-world financial problems, including fixed-income securities, portfolio theory, and derivatives.
  • Q: Who is the author of 'Investment Science'? A: The author of 'Investment Science' is David G. Luenberger, a noted figure in the field of finance and investment theory.
  • Q: What topics are covered in 'Investment Science'? A: 'Investment Science' covers a range of topics, including fixed-income securities, modern portfolio theory, capital asset pricing theory, derivatives (such as futures and options), and optimal portfolio growth.
  • Q: What is the condition of the book? A: 'Investment Science' is available in new condition, ensuring that readers receive a fresh and undamaged copy.
  • Q: How many pages does 'Investment Science' have? A: 'Investment Science' has a total of 512 pages, providing comprehensive coverage of its subject matter.
  • Q: Is 'Investment Science' suitable for beginners? A: Yes, 'Investment Science' is designed to be accessible to readers, using algebra and elementary statistics/probability, making it suitable for beginners and students in investment courses.
  • Q: What type of binding does 'Investment Science' have? A: 'Investment Science' is published in hardcover binding, providing durability and a professional appearance.
  • Q: When was 'Investment Science' published? A: 'Investment Science' was published on July 3, 1997.
  • Q: Are there exercises included in 'Investment Science'? A: Yes, 'Investment Science' includes creative examples and end-of-chapter exercises to reinforce the principles discussed in the text.
  • Q: Where has 'Investment Science' been used as a textbook? A: 'Investment Science' has been successfully used in courses at institutions such as Boston University, Stanford University, and the University of Strathclyde.