A Spiral Approach to Financial Mathematics lays a foundation of intuitive analysis of financial concepts early in the course, followed by a more detailed and nuanced treatment in later chapters. It introduces major financial concepts through real situations, integrates active learning, student focused explorations and examples with Excel spreadsheets and straightforward financial calculations. It is organized so sections can be read independently or through in-class guided-discovery activities and/or interactive lectures. Focusing on conceptual understanding to maximize comprehension and retention, using modern financial analysis tools and utilizing active learning, the book offers a modern approach that eliminates tedious and time-consuming calculations initially without underestimating the ability of readers.
- Covers FM Exam topics
- Includes Excel spreadsheets that enable the execution of financial transactions
- Presents a spiral, active learning pedagogical strategy that accentuates key concepts and reinforces intuitive learning
Unit 1 Introduction to Financial Mathematics 1. Savings: Fundamentals of Interest 2. Loans: Fundamentals of Borrowing and Lending 3. Annuities: Fundamentals of Regular Payments 4. Stocks and Bonds: Fundamentals of Investment Strategies 5. Portfolios: Fundamentals of Collections of Assets and Liabilities
Unit 2 Revisiting Topics in Financial Mathematics 6. Savings Revisited 7. Loans Revisited 8. Annuities Revisited 9. Bonds Revisited 10. Portfolios Revisited
Illuminates financial concepts and financial problem-solving through a spiral approach that integrates exposition, examples and easy-to-use technology
A Spiral Approach to Financial Mathematics lays a foundation of intuitive analysis of financial concepts early in the clï