GRE Math Review ( for the Quantitative Reasoning Measure of the GRE® revised General Test)
Familiarize yourself with the mathematical skills and concepts you may see when you take the GRE revised General Test. Includes definitions, properties, examples and a set of exercises with answers at the end of each section.
Alpha, higher-than-expected returns generated by an investment strategy, is the holy grail of the investment world. Achieve alpha, and you've beaten the market on a risk-adjusted basis. Quantitative Strategies for Achieving Alpha was borne from equity analyst Richard Tortoriello's efforts to create a series of quantitative stock selection models for his company, Standard & Poor's, and produce a road map of the market from a quantitative point of view.
The Cardiovascular System: Cold Spring Harbor Symposia on Quantitative Biology, Volume LXVII
This latest volume in a prestigious book series presents a remarkable survey of current progress in these efforts, through the contributions of over fifty of the world's leading investigators. Sections are devoted to angiogenesis, cardiogenesis, homeostasis, development, vascular biology, and cardiovascular repair and therapy. The book is an essential source of ideas, discoveries, and references for clinical scientists and physicians interested in basic cardiac biology, hypertension, atherosclerosis, coronary artery disease, and heart failure.
Explores the concepts and methods of problem solving. The text examines qualitative tools, quantitative tools, and human values - and their role in the problem solving process. Unusually broad in scope and comprehensive in coverage, this classic exploration of the concepts and methods of problem solving offers a balanced examination of qualitative tools, quantitative tools, and human values -- and their role in the problem solving process.
Market Risk Analysis: Quantitative Methods in Finance (Volume 1)
Written by leading market risk academic, Professor Carol Alexander, Quantitative Methods in Finance forms part one of the Market Risk Analysis four volume set. Starting from the basics, this book helps readers to take the first step towards becoming a properly qualified financial risk manager and asset manager, roles that are currently in huge demand. Accessible to intelligent readers with a moderate understanding of mathematics at high school level or to anyone with a university degree in mathematics, physics or engineering, no prior knowledge of finance is necessary. Instead the emphasis is on understanding ideas rather than on mathematical rigour,