Overview
Improves the quality of the scientific results of financial and insurance problems using mathematical and statistical tools
Allows a quick consultation
The book is a meaningful survey of interesting and updated ideas in the field
Includes supplementary material: sn.pub/extras
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Table of contents (42 chapters)
Keywords
About this book
Editors and Affiliations
Bibliographic Information
Book Title: Mathematical and Statistical Methods for Actuarial Sciences and Finance
Editors: Cira Perna, Marilena Sibillo
DOI: https://doi.org/10.1007/978-3-319-05014-0
Publisher: Springer Cham
eBook Packages: Mathematics and Statistics, Mathematics and Statistics (R0)
Copyright Information: Springer International Publishing Switzerland 2014
Hardcover ISBN: 978-3-319-05013-3Published: 24 March 2014
Softcover ISBN: 978-3-319-35856-7Published: 23 August 2016
eBook ISBN: 978-3-319-05014-0Published: 08 July 2014
Edition Number: 1
Number of Pages: X, 190
Number of Illustrations: 19 b/w illustrations, 7 illustrations in colour
Topics: Actuarial Sciences, Quantitative Finance, Statistical Theory and Methods, Finance, general