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Mathematical and Statistical Methods for Actuarial Sciences and Finance: MAF 2016 - Brossura

 
9783319502359: Mathematical and Statistical Methods for Actuarial Sciences and Finance: MAF 2016

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1 The effects of credit rating announcements on bond liquidity: An event study.- 2 The effect of credit rating events on the emerging CDS market.- 3 A generalised linear model approach to predict the result of research evaluation.- 4 Projecting dynamic life tables using Data Cloning.- 5 Markov switching GARCH models: Filtering, approximations and duality.- 6 A network approach to risk theory and portfolio selection.- 7 A PSO-based approach for improving simple trading systems.- 8 Provisions for outstanding claims with distance-based generalized linear models.- 9 Profitability vs. attractiveness within a performance analysis of a life annuity business.- 10 Uncertainty in historical Value-at-Risk: an alternative quantile-based risk measure.- 11 Modeling volatility risk premium.- 12 Covered call writing and framing: A cumulative prospect theory approach.- 13 Optimal portfolio selection for an investor with asymmetric attitude to gains and losses.

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Altre edizioni note dello stesso titolo

9783319502335: Mathematical and Statistical Methods for Actuarial Sciences and Finance Maf 2016: Maf 2016

Edizione in evidenza

ISBN 10:  3319502336 ISBN 13:  9783319502335
Casa editrice: Springer Nature, 2018
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