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Practical Risk Theory for Actuaries

This classic textbook covers all aspects of risk theory in a practical way. It builds on from the late R.E. Beard's extremely popular book;

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Stochastic models in risk theory and management accounting

Stochastic models in risk theory and management accounting;

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Risk Management in Civil Infrastructure

This book presents several original theories for risk, including Theory of Risk Monitoring, and Theory of Risk Acceptance, in addition to;

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The Professional Risk Managers' Guide to Finance Theory and Application

A comprehensive analysis of finance theory from a global group of scholars and financial expertsThe Professional Risk Managers' Guide to;

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Risk Theory

'Heavy-tailed risk modelling plays a central role in modern risk theory; within this perspective, the book provides an excellent guide;

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Asymptotic Statistics in Insurance Risk Theory

of estimating the Gerber-Shiu function. This book is the first to introduce the recent development of statistical methodologies in risk theory (ruin;

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Preparing For The Worst

cause the existing theory to fail. They present the theory of downside risk and utility theory to account for the asymmetry, showing how the;

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Risk Theory

Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin;

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Ulrich Beck

This book provides a comprehensive and thorough interpretation of Beck's theory of the (world) risk society, from its original formulation;

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Risk and Rationality

theory (expected utility theory) dictates an overly narrow way in which considerations about risk can play a role in an individual's choices;

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Risk and Nursing Practice

Risk and Nursing Practice introduces the reader to a range of sociological theory that has arisen about the 'risk society'. Theories about;

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Whole Life-Cycle Costing

With its mixture of established theory, best practice and innovation Whole--life costing: risk and risk responses offers a thorough;

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Management of Foreign Exchange Risk

the issues of risk management and theory and hypothesis development, which have general implications for finance theory and FOREX market;

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Measuring & Managing Information Risk

theory, risk calculation, scenario modeling, and communicating risk within the organization, Measuring and Managing Information Risk helps;

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Quantitative Modeling of Operational Risk in Finance and Banking Using Possibility Theory

This book offers a comprehensive guide to the modelling of operational risk using possibility theory. It provides a set of methods for;

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Risk Management

This book outlines risk management theory systematically and comprehensively while distinguishing it from academic fields such as insurance;

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Risk Management

This book outlines risk management theory systematically and comprehensively while distinguishing it from academic fields such as insurance;

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The Earthscan Reader on Risk

This new anthology is a comprehensive introduction to the field of risk theory. The introduction provides the ideal starting point for;

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The Earthscan Reader on Risk

This new anthology is a comprehensive introduction to the field of risk theory. The introduction provides the ideal starting point for;

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Uncertainty In Risk Assessment

, as well as a basic knowledge of probability theory and statistics, Uncertainty in Risk Assessment can be read profitably by a broad audience;

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Presidential Risk Behavior in Foreign Policy

study of international relations, foreign policy decision making, prospect theory and risk behavior, personality theory, and information;

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Social Theories of Risk and Uncertainty

modernization, culture and risk, governmentality and risk, systems theory and risk, and edgework and voluntary risk taking Offers a comprehensive look;

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Social Theories of Risk and Uncertainty

modernization, culture and risk, governmentality and risk, systems theory and risk, and edgework and voluntary risk taking Offers a comprehensive look;

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Choice Theory

attitudes, explore original, cumulative and third generation prospect theory, and the role of risk sensitivity and loss aversion.

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A Probability Metrics Approach To Financial Risk Measures

between existing classes of risk measures * Describes applications in finance and extends them where possible * Presents the theory of probability;

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Fundamentals of Risk Analysis and Risk Management

and Risk Management is a unique contribution to the field. Its broad coverage ranges from basic theory of risk analysis to practical;

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Trust, Risk and Uncertainty

work within these crucial debates in the social sciences has been theory-based and theory-driven, Trust, Risk and Uncertainty combines;

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