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Modern Actuarial Theory and Practice

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

in Modern Actuarial Risk Theory , together with the hints for solving the more difficult ones and the numerical answers to many others, make the;

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A History of British Actuarial Thought

of modern finance, and the challenges that the profession wrestled with in reconciling these ideas with traditional actuarial methods;

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Actuarial Mathematics for Life Contingent Risks

changing insurance environment. Topics include modern actuarial paradigms, such as multiple state models, cash-flow projection methods and option;

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Modern Actuarial Risk Theory Using R

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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Actuarial Principles

Actuarial Principles: Lifetables and Mortality Models explores the core of actuarial science: the study of mortality and other risks and;

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Financial Mathematics For Actuarial Science

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

Financial Mathematics for Actuarial Science: The Theory of Interest is concerned with the measurement of interest and the various ways;

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Actuaries' Survival Guide

/>* Based on the curricula and examinations of the Society of Actuaries (SOA) and the Casualty Actuarial Society (CAS)* Presents an overview;

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Financial And Actuarial Statistics

statistical background. It also advances the application and theory of statistics in modern financial and actuarial modeling. Like its predecessor;

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Financial and Actuarial Statistics

necessary mathematical and statistical background. It also advances the application and theory of statistics in modern financial and actuarial;

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Non-Life Insurance Pricing with Generalized Linear Models

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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Actuarial Science

Information Processing and Actuarial Mathematics Theory and Methodology , which was supported by the Chinese government. Summarizing what they;

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Nonlife Actuarial Models

for Exam C of the Society of Actuaries (SOA) while emphasizing the concepts and practical application of nonlife actuarial models. Ideal for;

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Actuarial Finance

financial markets and other contingencies. With roots in modern financial mathematics, actuarial finance presents unique challenges due to the long;

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An Elementary Treatise on Actuarial Mathematics

book will be of value to anyone with an interest in actuarial practice and its relationship with aspects of mathematics.;

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Loss Models

A modern practical guide to building and using actuarial models. Loss Models: From Data to Decisions is organized around the principle;

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Actuaries' Survival Guide

progress toward a global knowledge-based economy, and the global expansion of the actuarial field that has occurred since the first edition.

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Some Recent Researches in the Theory of Statistics and Actuarial Science

year. The text provides a concise discussion of the relationship between theoretical statistics and actuarial science. This book will be;

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Actuarial Theory

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Handbook on Loss Reserving

of more recent ones and a discussion of certain problems occurring in actuarial practice, like inflation, scarce data, large claims, slow loss;

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Financial Risk Management for Pension Plans

is expected to know basic probability theory and mathematical analysis, while all required concepts in financial and actuarial mathematics are;

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Loss Models

An essential resource for constructing and analyzing advanced actuarial models Loss Models: Further Topics presents extended coverage;

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Statistical and Probabilistic Methods in Actuarial Science

foundation in both the theory and applications of actuarial science. It encourages students to use the statistical software package R to check;

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Introduction To Mathematical Portfolio T

In this concise yet comprehensive guide to the mathematics of modern portfolio theory the authors discuss mean-variance analysis, factor;

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Investment Guarantees

one-stop reference contains the valuable insights and proven techniques that will allow readers to better understand the theory and practice;

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Introduction to Actuarial and Financial Mathematical Methods

fundamental calculus, linear algebra, probability, and basic numerical methods. The easily-understandable text of Introduction to Actuarial and;

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