2011, ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [SC: 0.0], [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK; MATHEMATIK / STATISTIK WIRTSCHAFTSSTATISTIK; CATASTROPHEBONDS; COMPOUNDRISKMODEL; EXTREMEVALU… More...
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2011, ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK MATHEMATIK STATISTIK WIRTSCHAFTSSTATISTIK CATASTROPHEBONDS COMPOUNDRISKMODEL EXTREMEVALUETHEORY FUZZYIDEN… More...
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2011, ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK MATHEMATIK STATISTIK WIRTSCHAFTSSTATISTIK CATASTROPHEBONDS COMPOUNDRISKMODEL EXTREMEVALUETHEORY FUZZYIDEN… More...
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2011, ISBN: 3642180612
2nd ed. 2011 Kartoniert / Broschiert Finanzmathematik, Mathematik / Finanzmathematik, Statistik / Wirtschaftsstatistik, Wirtschaftsstatistik, Angewandte Mathematik, catastrophebonds; Co… More...
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2011, ISBN: 9783642180613
[ED: Kartoniert / Broschiert], [PU: Springer Berlin Heidelberg], Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Offers insight into new m… More...
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2011, ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [SC: 0.0], [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK; MATHEMATIK / STATISTIK WIRTSCHAFTSSTATISTIK; CATASTROPHEBONDS; COMPOUNDRISKMODEL; EXTREMEVALU… More...
Cizek, Pavel|Härdle, Wolfgang Karl|Weron, Rafal:
Statistical Tools for Finance and Insurance - Paperback2011, ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK MATHEMATIK STATISTIK WIRTSCHAFTSSTATISTIK CATASTROPHEBONDS COMPOUNDRISKMODEL EXTREMEVALUETHEORY FUZZYIDEN… More...
2011
ISBN: 3642180612
[EAN: 9783642180613], Neubuch, [PU: Springer Berlin Heidelberg], FINANZMATHEMATIK MATHEMATIK STATISTIK WIRTSCHAFTSSTATISTIK CATASTROPHEBONDS COMPOUNDRISKMODEL EXTREMEVALUETHEORY FUZZYIDEN… More...
2011, ISBN: 3642180612
2nd ed. 2011 Kartoniert / Broschiert Finanzmathematik, Mathematik / Finanzmathematik, Statistik / Wirtschaftsstatistik, Wirtschaftsstatistik, Angewandte Mathematik, catastrophebonds; Co… More...
2011, ISBN: 9783642180613
[ED: Kartoniert / Broschiert], [PU: Springer Berlin Heidelberg], Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Offers insight into new m… More...
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Details of the book - Statistical Tools for Finance and Insurance: Second Edition
EAN (ISBN-13): 9783642180613
ISBN (ISBN-10): 3642180612
Hardcover
Paperback
Publishing year: 2011
Publisher: Cizek, Pavel, Härdle, Wolfgang Karl, Weron, Rafa?, Springer
420 Pages
Weight: 0,616 kg
Language: eng/Englisch
Book in our database since 2009-11-20T15:54:33+00:00 (London)
Detail page last modified on 2023-10-20T16:16:48+01:00 (London)
ISBN/EAN: 9783642180613
ISBN - alternate spelling:
3-642-18061-2, 978-3-642-18061-3
Alternate spelling and related search-keywords:
Book author: pavel pavel, cizek, wolfgang härdle, haerdle, karl wolf
Book title: tools, statistical edition, finance
Information from Publisher
Author: Pavel Cizek; Wolfgang Karl Härdle; Rafał Weron
Title: Statistical Tools for Finance and Insurance
Publisher: Springer; Springer Berlin
420 Pages
Publishing year: 2011-03-23
Berlin; Heidelberg; DE
Printed / Made in
Weight: 0,646 kg
Language: English
106,99 € (DE)
109,99 € (AT)
118,00 CHF (CH)
POD
IV, 420 p. 8 illus. in color.
BC; Statistics for Business, Management, Economics, Finance, Insurance; Hardcover, Softcover / Wirtschaft/Allgemeines, Lexika; Wahrscheinlichkeitsrechnung und Statistik; Verstehen; Catastrophe Bonds; Compound Risk Model; Extreme Value Theory; Fuzzy Identification Model; Loss Distributions; Option Pricing; Ruin Probability; Stable Distributions; Tail Dependence; VOLA Surfaces; quantitative finance; Quantitative Finance; Statistics in Business, Management, Economics, Finance, Insurance; Mathematics in Business, Economics and Finance; Wirtschaftswissenschaft, Finanzen, Betriebswirtschaft und Management; Angewandte Mathematik; BC; EA
Statistical Tools for Finance and Insurance presents ready-to-use solutions, theoretical developments and method construction for many practical problems in quantitative finance and insurance. Written by practitioners and leading academics in the field, this book offers a unique combination of topics from which every market analyst and risk manager will benefit. Features of the significantly enlarged and revised second edition:Offers insight into new methods and the applicability of the stochastic technologyProvides the tools, instruments and (online) algorithms for recent techniques in quantitative finance and modern treatments in insurance calculationsCovers topics such as - expected shortfall for heavy tailed and mixture distributions*- pricing of variance swaps*- volatility smile calibration in FX markets- pricing of catastrophe bonds and temperature derivatives*- building loss models and ruin probability approximation- insurance pricing with GLM*- equity linked retirement plans*(new topics in the second edition marked with*)Presents extensive examplesMore/other books that might be very similar to this book
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9783540221890 Statistical Tools for Finance and Insurance (Rafal Weron)
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