Aanmelden
De tip van euro-boek.nl
Soortgelijke boeken
Andere boeken die eventueel grote overeenkomsten met dit boek kunnen hebben:
Zoekfuncties
boekentips
actueel
Advertentie
Betaalde advertentie
- 0 resultaten
laagste prijs: € 111,99, hoogste prijs: € 149,79, gemiddelde prijs: € 134,99
Statistical Tools for Finance and Insurance - Pavel Cizek, Wolfgang Karl Härdle, Rafal Weron
uitverkocht boek
(*)
Pavel Cizek, Wolfgang Karl Härdle, Rafal Weron:
Statistical Tools for Finance and Insurance - pocketboek

2011, ISBN: 3642180612

[SR: 5181573], Paperback, [EAN: 9783642180613], Springer, Springer, Book, [PU: Springer], 2011-03-23, Springer, 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 examples, 2604, Finance, 2607, Corporate Finance, 10020672011, Crowdfunding, 10020673011, Financial Engineering, 10020674011, Financial Risk Management, 10020675011, Wealth Management, 3, Business & Money, 1000, Subjects, 283155, Books, 2690, Pricing, 2675, Management & Leadership, 3, Business & Money, 1000, Subjects, 283155, Books, 10020691011, Statistics, 2732, Education & Reference, 3, Business & Money, 1000, Subjects, 283155, Books, 2640, Business, 2638, Insurance, 3, Business & Money, 1000, Subjects, 283155, Books, 2647, Risk Management, 2638, Insurance, 3, Business & Money, 1000, Subjects, 283155, Books, 271577011, Business Mathematics, 355562011, Skills, 3, Business & Money, 1000, Subjects, 283155, Books, 13983, Probability & Statistics, 226699, Applied, 13884, Mathematics, 75, Science & Math, 1000, Subjects, 283155, Books, 52161011, Statistics, 226699, Applied, 13884, Mathematics, 75, Science & Math, 1000, Subjects, 283155, Books, 491584, Economics, 491586, Economic Theory, 491590, Macroeconomics, 491592, Microeconomics, 468220, Business & Finance, 465600, New, Used & Rental Textbooks, 2349030011, Specialty Boutique, 283155, Books, 491594, Finance, 468220, Business & Finance, 465600, New, Used & Rental Textbooks, 2349030011, Specialty Boutique, 283155, Books, 491548, Statistics, 468218, Mathematics, 468216, Science & Mathematics, 465600, New, Used & Rental Textbooks, 2349030011, Specialty Boutique, 283155, Books

Nieuw boek Amazon.com
allnewbooks
Neuware. Verzendingskosten:Usually ships in 4-5 business days., exclusief verzendingskosten
Details...
(*) Uitverkocht betekent dat het boek is momenteel niet beschikbaar op elk van de bijbehorende platforms we zoeken.
Statistical Tools for Finance and Insurance - Pavel Cizek
uitverkocht boek
(*)
Pavel Cizek:
Statistical Tools for Finance and Insurance - pocketboek

2001, ISBN: 9783642180613

[ED: Taschenbuch], [PU: Springer-Verlag GmbH], Neuware - 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 technology Provides the tools, instruments and (online) algorithms for recent techniques in quantitative finance and modern treatments in insurance calculations Covers 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 examples, DE, [SC: 9.90], Neuware, gewerbliches Angebot, 241x157x20 mm, 420, [GW: 616g], PayPal, offene Rechnung, Banküberweisung, sofortueberweisung.de, Internationaler Versand

Nieuw boek Booklooker.de
Rheinberg-Buch
Verzendingskosten:Versand nach Österreich. (EUR 9.90)
Details...
(*) Uitverkocht betekent dat het boek is momenteel niet beschikbaar op elk van de bijbehorende platforms we zoeken.
Statistical Tools for Finance and Insurance - Herausgegeben von Cizek, Pavel Härdle, Wolfgang Karl Weron, Rafal
uitverkocht boek
(*)
Herausgegeben von Cizek, Pavel Härdle, Wolfgang Karl Weron, Rafal:
Statistical Tools for Finance and Insurance - pocketboek

2005, ISBN: 9783642180613

[ED: Softcover], [PU: Springer, Berlin], 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 technology Provides the tools, instruments and (online) algorithms for recent techniques in quantitative finance and modern treatments in insurance calculations Covers 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 examples 2nd Edition. 2005. iv, 420 S. 8 Farbabb. 235 mm Sofort lieferbar, DE, Neuware, gewerbliches Angebot, offene Rechnung (Vorkasse vorbehalten)

Nieuw boek Booklooker.de
buecher.de GmbH & Co. KG
Verzendingskosten:Zzgl. Versandkosten., exclusief verzendingskosten
Details...
(*) Uitverkocht betekent dat het boek is momenteel niet beschikbaar op elk van de bijbehorende platforms we zoeken.
Statistical Tools for Finance and Insurance - Cizek, Pavel
uitverkocht boek
(*)
Cizek, Pavel:
Statistical Tools for Finance and Insurance - pocketboek

2011, ISBN: 9783642180613

[ED: Taschenbuch], [PU: Springer-Verlag GmbH], DE, Neuware, gewerbliches Angebot, 420, [GW: 616g], 2nd Edition., sofortueberweisung.de, PayPal, Banküberweisung

Nieuw boek Booklooker.de
preigu
Verzendingskosten:Zzgl. Versandkosten., exclusief verzendingskosten
Details...
(*) Uitverkocht betekent dat het boek is momenteel niet beschikbaar op elk van de bijbehorende platforms we zoeken.
Statistical Tools for Finance and Insurance - Pavel Cizek; Wolfgang Karl Härdle; Rafał Weron
uitverkocht boek
(*)
Pavel Cizek; Wolfgang Karl Härdle; Rafał Weron:
Statistical Tools for Finance and Insurance - pocketboek

2011, ISBN: 9783642180613

ID: 17105705

[ED: 2], 2nd ed. 2011, Softcover, Buch, [PU: Springer Berlin]

Nieuw boek Lehmanns.de
Verzendingskosten:sofort lieferbar, , Versandkostenfrei innerhalb der BRD. (EUR 13.95)
Details...
(*) Uitverkocht betekent dat het boek is momenteel niet beschikbaar op elk van de bijbehorende platforms we zoeken.

Bijzonderheden over het boek
Statistical Tools for Finance and Insurance

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 examples

Gedetalleerde informatie over het boek. - Statistical Tools for Finance and Insurance


EAN (ISBN-13): 9783642180613
ISBN (ISBN-10): 3642180612
Gebonden uitgave
pocket book
Verschijningsjaar: 2011
Uitgever: Springer-Verlag GmbH
420 Bladzijden
Gewicht: 0,616 kg
Taal: eng/Englisch

Boek bevindt zich in het datenbestand sinds 20.11.2009 16:54:33
Boek voor het laatst gevonden op 09.10.2018 15:08:52
ISBN/EAN: 9783642180613

ISBN - alternatieve schrijfwijzen:
3-642-18061-2, 978-3-642-18061-3


< naar Archief...
Verwante boeken