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exercises can be found on a supporting website. An invaluable reference for both academics and practitioners alike, Actuarial Theory for Dependent;
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Apart from standard actuarial theory, Modern Actuarial Risk Theory contains methods that are relevant for actuarial practice, for;
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The substantially updated third edition of the popular Actuarial Mathematics for Life Contingent Risks is suitable for advanced;
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Actuarial Principles: Lifetables and Mortality Models explores the core of actuarial science: the study of mortality and other risks and;
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An essential resource for constructing and analyzing advanced actuarial models Loss Models: Further Topics presents extended coverage;
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Understand Up-to-Date Statistical Techniques for Financial and Actuarial Applications Since the first edition was published, statistical;
Vergelijkbare producten zoals Financial And Actuarial Statistics
Understand Up-to-Date Statistical Techniques for Financial and Actuarial Applications Since the first edition was published;
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measured by different yardsticks. Assets, for example, are mostly valued at market prices whereas liabilities are often measured by established;
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From the INTRODUCTION. Actuarial science is peculiarly dependent upon the Theory of Probabilities, the solution of many of its problems;
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A new textbook offering a comprehensive introduction to models and techniques for the emerging field of actuarial Finance Drs;
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field of financial economics has precipitated considerable development of thinking in the actuarial profession. Modern Actuarial Theory and;
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Modern Actuarial Risk Theory contains what every actuary needs to know about non-life insurance mathematics. It starts with the standard;
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questions. Merz and Wuthrich combine ideas from financial mathematics (no-arbitrage theory, equivalent martingale measure), actuarial sciences;
Vergelijkbare producten zoals Financial Modeling, Actuarial Valuation and Solvency in Insurance
questions. Merz and Wuthrich combine ideas from financial mathematics (no-arbitrage theory, equivalent martingale measure), actuarial sciences;
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Financial Mathematics for Actuarial Science: The Theory of Interest is concerned with the measurement of interest and the various ways;
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Financial Mathematics for Actuarial Science: The Theory of Interest is concerned with the measurement of interest and the various ways;
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computational techniques for risk management professionals Bridges the gap between the latest developments in finance and actuarial literature;
Vergelijkbare producten zoals An Introduction to Computational Risk Management of Equity-Linked Insurance
computational techniques for risk management professionals Bridges the gap between the latest developments in finance and actuarial;
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This is the third edition of this well-received textbook, presenting powerful methods for measuring insurance liabilities and assets in a;
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can serve as a companion to existing study material for all courses designed to prepare students for actuarial examinations.
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This must-have manual provides detailed solutions to all of the 300 exercises in Dickson, Hardy and Waters' Actuarial Mathematics for Life;
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credibility theory Uses standard statistical concepts, methods, and notation Provides modern computational algorithms for implementing methods;
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Information Processing and Actuarial Mathematics Theory and Methodology , which was supported by the Chinese government. Summarizing what they;
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for tariff analysis. The book focuses on methods based on GLMs that have been found useful in actuarial practice and provides a set;
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Statistical and Probabilistic Methods in Actuarial Science covers many of the diverse methods in applied probability and statistics for;
Vergelijkbare producten zoals Statistical and Probabilistic Methods in Actuarial Science
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