2016, ISBN: 9788847039063
edizione con copertina flessibile
[ED: Kartoniert / Broschiert], [PU: Springer Milan], Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Effective approach between mathematic… Altro …
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Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2016, ISBN: 8847039061
Softcover reprint of the original 1st ed. 2010 Kartoniert / Broschiert Makroökonomie, Wirtschaftsmathematik und -informatik, IT-Management, Wahrscheinlichkeitsrechnung und Statistik, An… Altro …
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Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2016, ISBN: 8847039061
Softcover reprint of the original 1st ed. 2010 Kartoniert / Broschiert Makroökonomie, Wirtschaftsmathematik und -informatik, IT-Management, Wahrscheinlichkeitsrechnung und Statistik, An… Altro …
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Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2008, ISBN: 9788847039063
Paperback, [PU: Springer Verlag], This book features selected papers from the international conference MAF 2008 that cover a wide variety of subjects in actuarial, insurance and financial… Altro …
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Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2016, ISBN: 9788847039063
Buch, Softcover, Softcover reprint of the original 1st ed. 2010, [PU: Springer Verlag], Springer Verlag, 2016
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2016, ISBN: 9788847039063
edizione con copertina flessibile
[ED: Kartoniert / Broschiert], [PU: Springer Milan], Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Effective approach between mathematic… Altro …
Claudio, Pizzi (Herausgeber); Corazza, Marco (Herausgeber):
Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile2016, ISBN: 8847039061
Softcover reprint of the original 1st ed. 2010 Kartoniert / Broschiert Makroökonomie, Wirtschaftsmathematik und -informatik, IT-Management, Wahrscheinlichkeitsrechnung und Statistik, An… Altro …
Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2016
ISBN: 8847039061
Softcover reprint of the original 1st ed. 2010 Kartoniert / Broschiert Makroökonomie, Wirtschaftsmathematik und -informatik, IT-Management, Wahrscheinlichkeitsrechnung und Statistik, An… Altro …
Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2008, ISBN: 9788847039063
Paperback, [PU: Springer Verlag], This book features selected papers from the international conference MAF 2008 that cover a wide variety of subjects in actuarial, insurance and financial… Altro …
Mathematical and Statistical Methods for Actuarial Sciences and Finance - edizione con copertina flessibile
2016, ISBN: 9788847039063
Buch, Softcover, Softcover reprint of the original 1st ed. 2010, [PU: Springer Verlag], Springer Verlag, 2016
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Informazioni dettagliate del libro - Mathematical and Statistical Methods for Actuarial Sciences and Finance
EAN (ISBN-13): 9788847039063
ISBN (ISBN-10): 8847039061
Copertina flessibile
Anno di pubblicazione: 2016
Editore: Springer Verlag
Libro nella banca dati dal 2017-03-21T07:05:55+01:00 (Rome)
Pagina di dettaglio ultima modifica in 2022-12-11T00:11:38+01:00 (Rome)
ISBN/EAN: 9788847039063
ISBN - Stili di scrittura alternativi:
88-470-3906-1, 978-88-470-3906-3
Stili di scrittura alternativi e concetti di ricerca simili:
Autore del libro : claudio, pizzi marco, corazza
Titolo del libro: mathematical finance
Dati dell'editore
Autore: Marco Corazza; Pizzi Claudio
Titolo: Mathematical and Statistical Methods for Actuarial Sciences and Finance
Editore: Springer; Springer Italia
314 Pagine
Anno di pubblicazione: 2016-08-23
Milano; IT
Stampato / Fatto in
Lingua: Inglese
74,89 € (DE)
76,99 € (AT)
83,00 CHF (CH)
POD
XV, 314 p.
BC; Hardcover, Softcover / Mathematik/Sonstiges; Angewandte Mathematik; Verstehen; Statistical Models; linear optimization; mathematical methods; optimization; quantitative finance; statistical method; statistical methods; statistics; Mathematics in Business, Economics and Finance; Actuarial Mathematics; Business Mathematics; Statistical Theory and Methods; Macroeconomics and Monetary Economics; Applications of Mathematics; Wirtschaftswissenschaft, Finanzen, Betriebswirtschaft und Management; Versicherung und Versicherungsmathematik; Wirtschaftsmathematik und -informatik, IT-Management; Wahrscheinlichkeitsrechnung und Statistik; Makroökonomie; BB
Impact of interest rate risk on the Spanish banking sector.- Tracking error with minimum guarantee constraints.- Energy markets: crucial relationship between prices.- Tempered stable distributions and processes in finance: numerical analysis.- Transformation kernel estimation of insurance claim cost distributions.- What do distortion risk measures tell us on excess of loss reinsurance with reinstatements?.- Some classes of multivariate risk measures.- Assessing risk perception by means of ordinal models.- A financial analysis of surplus dynamics for deferred life schemes.- Checking financial markets via Benford’s law: the S&P 500 case.- Empirical likelihood based nonparametric testing for CAPM.- Lee-Carter error matrix simulation: heteroschedasticity impact on actuarial valuations.- Estimating the volatility term structure.- Exact and approximated option pricing in a stochastic volatility jump-diffusion model.- A skewed GARCH-type model for multivariate financial time series.- Financial time series and neural networks in a minority game context.- Robust estimation of style analysis coefficients.- Managing demographic risk in enhanced pensions.- Clustering mutual funds by return and risk levels.- Multivariate Variance Gamma and Gaussian Dependence: a study with copulas.- A simple dimension reduction procedure for corporate finance composite indicators.- The relation between implied and realised volatility in the DAX index options market.- Binomial algorithms for the evaluation of options on stocks with fixed per share dividends.- Nonparametric prediction in time series analysis: some empirical results.- On efficient optimisation of the CVaR and related LP computable risk measures for portfolio selection.- A pattern recognition algorithm for optimal profits in currencytrading.- Nonlinear cointegration in financial time series.- Optimal dynamic asset allocation in a non—Gaussian world.- Fair costs of guaranteed minimum death benefit contracts.- Solvency evaluation of the guaranty fund at a large financial cooperative.- A Monte Carlo approach to value exchange options using a single stochastic factor.Effective approach between mathematicians and statisticians
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