The authors presents quantitative and qualitative analysis for business with applicability on investments, finance, and portfolio theory. The examples provided will give students the opportunity to develop their knowledge and better understand the methods to find the right results of the proposed problems and exercises.
The volume covers both quantitative and qualitative analyses. Quantitative analysis is covered by elements of probability, probability distributions, and random variables, while quantitative analysis is covered by the financial markets, interest, and portfolio theory chapters.
This book is addressed both to undergraduate students as support for the course "Investments and Risk" and to those from the master's program as support for the course "Quantitative and Qualitative Analysis for Business".