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Granularity Theory with Applications to Finance and Insurance

reserves. In this book, authors Patrick Gagliardini and Christian Gourieroux provide the first comprehensive overview of the granularity theory and;

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Granularity Theory With Applications To Finance And Insuranc

reserves. In this book, authors Patrick Gagliardini and Christian Gourieroux provide the first comprehensive overview of the granularity theory and;

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An Introduction to Excel Vba Programming

theory behind the algorithms in detail Includes more than 100 exercises with selected solutions Provides VBA code in Excel files and data to;

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An Introduction to Excel VBA Programming

programs for manipulating data and building models in banks and insurance companies. An Introduction to Excel VBA Programming: with Applications;

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Sparse Grid Quadrature in High Dimensions with Applications in Finance and Insurance

dimension-wise integration techniques with applications to finance and insurance. The book focuses on providing insights into the interplay between;

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Monte Carlo Methods and Models in Finance and Insurance

application background of finance and insurance with the theory and applications of Monte Carlo methods. It presents recent methods and algorithms;

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Introductory Stochastic Analysis For Finance And Insurance

in probability theory is beneficial to prospective readers. This book evolved from the author's experience as an instructor and has been thoroughly;

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Multiple Criteria Decision Making in Finance Insurance and Investment

This book is devoted to recent developments and applications of multiple criteria decision aid tools in the field of finance, insurance and;

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Extreme Events In Finance A Handbook Of

A guide to the growing importance of extreme value risk theory, methods, and applications in the financial sector Presenting a uniquely;

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Extreme Value Methods with Applications to Finance

-normalized sums of random variables Measures of market risk Along with examples from finance and insurance to illustrate the methods, Extreme;

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Extreme Values in Finance, Telecommunications, and the Environment

Because of its potential to ...predict the unpredictable,... extreme value theory (EVT) and methodology is currently receiving a great deal;

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Structured Finance And Insurance

to shed to remain competitive and to maximize its value for the capital employed. Culp explains the theory and practice of risk transfer;

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Stochastic Processes For Insurance And Finance

subject and specifically address: * The principal concepts from insurance and finance * Practical examples with real life data * Numerical and;

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Public Finance

Public Finance: A Normative Theory, Fourth Edition provides a classic text on the normative theory of government policy. This valuable and;

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International Finance

For courses in International Finance. A balanced approach to theory and policy applications International Finance: Theory and Policy;

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Stochastic Processes for Insurance and Finance

The Wiley Paperback Series makes valuable content more accessible to a new generation of statisticians, mathematicians and scientists;

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Renewal Processes

This monograph serves as an introductory text to classical renewal theory and some of its applications for graduate students and;

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Actuarial Finance

. Boudreault and Renaud answer the need for a clear, application-oriented guide to the growing field of actuarial finance with this volume, which;

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Hidden Markov Models in Finance

Models in Finance (2007), this offers the latest research developments and applications of HMMs to finance and other related fields. Amongst the;

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Reasoning with Rough Sets

This book explores reasoning with rough sets by developing a granularity-based framework. It begins with a brief description of the rough;

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Nonlinear Mathematics for Uncertainty and its Applications

have been many attempts in extending the theory of classical probability and statistical models to the generalized one which can cope with;

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Structured Dependence between Stochastic Processes

finance, insurance, seismology, neuroscience, and genetics. With this monograph, the first to be devoted to the modeling of structured dependence;

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Mathematics of Interest Rates and Finance

For courses in Actuarial Mathematics, Introduction to Insurance, and Personal/Business Finance. This text presents the basic core;

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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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Asset Pricing

to evaluate these asset pricing models and throws light on the existence of Equity Premium Puzzle. Based on the structural theory, some;

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Big Data for Insurance Companies

in the field of insurance. It will be useful to people working in finance and to masters students using big data tools. The authors present the;

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Numerical Techniques in Finance

Numerical Techniques in Finance is an innovative book that shows how to create, and how to solve problems in a wide variety of complex;

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