Isbn: 9783319898230 - mathematical and statistical methods for actuarial sciences and finance: maf 2018 (10 risultati)

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    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: Ria Christie Collections, Uxbridge, Regno UnitoRia Christie Collections

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      EUR 251,78

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    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: Books Puddle, New York, NY, U.S.A.Books Puddle

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      Condizione: New. 1st ed. 2018 edition NO-PA16APR2015-KAP.

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      Hardcover. Condizione: Brand New. 518 pages. 9.50x6.25x1.50 inches. In Stock.

    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: AHA-BUCH GmbH, Einbeck, GermaniaAHA-BUCH GmbH

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      EUR 328,84

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      Buch. Condizione: Neu. Druck auf Anfrage Neuware - Printed after ordering - The interaction between mathematicians, statisticians and econometricians working in actuarial sciences and finance is producing numerous meaningful scientific results. This volume introduces new ideas, in the form of four-page papers, presented at the international conference Mathematical and Statistical Methods for Actuarial Sciences and Finance (MAF), held at Universidad Carlos III de Madrid (Spain), 4th-6th April 2018. The book covers a wide variety of subjects in actuarial science and financial fields, all discussed in the context of the cooperation between the three quantitative approaches. The topics include: actuarial models; analysis of high frequency financial data; behavioural finance; carbon and green finance; credit risk methods and models; dynamic optimization in finance; financial econometrics; forecasting of dynamical actuarial and financial phenomena; fund performance evaluation; insurance portfolio risk analysis; interest rate models; longevity risk; machine learning and soft-computing in finance; management in insurance business; models and methods for financial time series analysis, models for financial derivatives; multivariate techniques for financial markets analysis; optimization in insurance; pricing; probability in actuarial sciences, insurance and finance; real world finance; risk management; solvency analysis; sovereign risk; static and dynamic portfolio selection and management; trading systems.This book is a valuable resource for academics, PhD students, practitioners, professionals and researchers, and is also of interest to other readers with quantitative background knowledge.

    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: Brook Bookstore On Demand, Napoli, NA, ItaliaBrook Bookstore On Demand

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      EUR 182,29

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      Condizione: new. Questo è un articolo print on demand.

    • Lingua: Inglese

      Editore: Springer International Publishing, 2018

      331989823X / 9783319898230

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      Da: moluna, Greven, Germaniamoluna

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      EUR 197,62

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      Condizione: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Offers selected peer-reviewed papers&nbspFocuses on mathematical and statistical methods in actuarial sciences and financeIntended for academicians, researchers, Ph.D. students and professionals&nbspOffers selected p.

    • Lingua: Inglese

      Editore: Springer International Publishing Jul 2018, 2018

      331989823X / 9783319898230

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      Da: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, GermaniaBuchWeltWeit Ludwig Meier e.K.

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      EUR 235,39

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      Buch. Condizione: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -The interaction between mathematicians, statisticians and econometricians working in actuarial sciences and finance is producing numerous meaningful scientific results. This volume introduces new ideas, in the form of four-page papers, presented at the international conference Mathematical and Statistical Methods for Actuarial Sciences and Finance (MAF), held at Universidad Carlos III de Madrid (Spain), 4th-6th April 2018. The book covers a wide variety of subjects in actuarial science and financial fields, all discussed in the context of the cooperation between the three quantitative approaches. The topics include: actuarial models; analysis of high frequency financial data; behavioural finance; carbon and green finance; credit risk methods and models; dynamic optimization in finance; financial econometrics; forecasting of dynamical actuarial and financial phenomena; fund performance evaluation; insurance portfolio risk analysis; interest rate models; longevity risk; machine learning and soft-computing in finance; management in insurance business; models and methods for financial time series analysis, models for financial derivatives; multivariate techniques for financial markets analysis; optimization in insurance; pricing; probability in actuarial sciences, insurance and finance; real world finance; risk management; solvency analysis; sovereign risk; static and dynamic portfolio selection and management; trading systems.This book is a valuable resource for academics, PhD students, practitioners, professionals and researchers, and is also of interest to other readers with quantitative background knowledge. 536 pp. Englisch.

    • Lingua: Inglese

      Editore: Springer, Springer International Publishing Jul 2018, 2018

      331989823X / 9783319898230

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      Da: buchversandmimpf2000, Emtmannsberg, BAYE, Germaniabuchversandmimpf2000

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      EUR 235,39

      EUR 60,00 spedizione 
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      Buch. Condizione: Neu. This item is printed on demand - Print on Demand Titel. Neuware -The interaction between mathematicians, statisticians and econometricians working in actuarial sciences and finance is producing numerous meaningful scientific results. This volume introduces new ideas, in the form of four-page papers, presented at the international conference Mathematical and Statistical Methods for Actuarial Sciences and Finance (MAF), held at Universidad Carlos III de Madrid (Spain), 4th-6th April 2018.The book covers a wide variety of subjects in actuarial science and financial fields, all discussed in the context of the cooperation between the three quantitative approaches. The topics include: actuarial models; analysis of high frequency financial data; behavioural finance; carbon and green finance; credit risk methods and models; dynamic optimization in finance; financial econometrics; forecasting of dynamical actuarial and financial phenomena; fund performance evaluation; insurance portfolio risk analysis; interest rate models; longevity risk; machine learning and soft-computing in finance; management in insurance business; models and methods for financial time series analysis, models for financial derivatives; multivariate techniques for financial markets analysis; optimization in insurance; pricing; probability in actuarial sciences, insurance and finance; real world finance; risk management; solvency analysis; sovereign risk; static and dynamic portfolio selection and management; trading systems.This book is a valuable resource for academics, PhD students, practitioners, professionals and researchers, and is also of interest to other readers with quantitative background knowledge.Springer-Verlag KG, Sachsenplatz 4-6, 1201 Wien 536 pp. Englisch.

    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: Majestic Books, Hounslow, Regno UnitoMajestic Books

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      EUR 319,90

      EUR 7,58 spedizione 
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      Condizione: New. Print on Demand.

    • Lingua: Inglese

      Editore: Springer, 2018

      331989823X / 9783319898230

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      Da: Biblios, frankfurt am main, HESSE, GermaniaBiblios

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      EUR 325,73

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      Condizione: New. PRINT ON DEMAND.