Showing results for "gordon e willmot"
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Loss Models
From Data to Decisions
2019
EN
A guide that provides in-depth coverage of modeling techniques used throughout many branches of actuarial science, revised and updatedNow in its fifth edition, Loss Models: From Data to Decisions puts the focus on material tested in the Society of Actuaries (SOA) newly revised Exams STAM (Short-Term Actuarial Mathematics) and LTAM (Long-Term Actuarial Mathematics). Updated to reflect these exam changes, this vital resource offers actuaries, and those aspir...
$190.99 CAD
2019
EN
Solutions manual to accompany a text with comprehensive coverage of actuarial modeling techniques The Student Solutions Manual to Accompany Loss Models: From Data to Decisions covers solutions related to the companion text. The manual and text are designed for use by actuaries and those studying for the profession. Readers can learn modeling techniques used across actuarial science. Knowledge of the techniques is also beneficial for those who use loss data to buil...
$47.99 CAD
2017
EN
This carefully written monograph covers the Sparre Andersen process in an actuarial context using the renewal process as the model for claim counts.A unified reference on Sparre Andersen (renewal risk) processes is included, often missing from existing literature. The authors explore recent results and analyse various risk theoretic quantities associated with the event of ruin, including the time of ruin and the deficit of ruin. Particular attention is given to the explicit identif...
$99.99 CAD
Loss Models
Further Topics
2013
EN
An essential resource for constructing and analyzing advanced actuarial modelsLoss Models: Further Topics presents extended coverage of modeling through the use of tools related to risk theory, loss distributions, and survival models. The book uses these methods to construct and evaluate actuarial models in the fields of insurance and business. Providing an advanced study of actuarial methods, the book features extended discussions of risk modeling and risk measures, inclu...
$199.99 CAD
2014
EN
Student Solutions Manual to Accompany Loss Models: From Data to Decisions, Fourth Edition. This volume is organised around the principle that much of actuarial science consists of the construction and analysis of mathematical models which describe the process by which funds flow into and out of an insurance system.
$48.99 CAD
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Statistical Methods and Applications in Insurance and Finance
CIMPA School, Marrakech and Kelaat M’gouna, Morocco, April 2013
2016
EN
This book is the outcome of the CIMPA School on Statistical Methods and Applications in Insurance and Finance, held in Marrakech and Kelaat M'gouna (Morocco) in April 2013. It presents two lectures and seven refereed papers from the school, offering the reader important insights into key topics. The first of the lectures, by Frederic Viens, addresses risk management via hedging in discrete and continuous time, while the second, by Boualem Djehiche, reviews statistical estimation methods ap...
$116.99 CAD
- Series -
- Economics and Finance (R0)
2016
EN
This book explains the standard Real Options Analysis (ROA) literature in a straightforward, step by step manner without the use of complex mathematics. A lot of ROA literature is described through partial differential equations, probability density functions and simulation techniques, all of which may be unconvincing in the applicable qualities ROA possesses. Using this book, the reader will have a better grasp about how ROA works and will be able to provide his or her judgment about ROA,...
$77.39 CAD
- Series -
- Mathematics and Statistics (R0)
2017
EN
This volume provides practical solutions and introduces recent theoretical developments in risk management, pricing of credit derivatives, quantification of volatility and copula modeling. This third edition is devoted to modern risk analysis based on quantitative methods and textual analytics to meet the current challenges in banking and finance. It includes 14 new contributions and presents a comprehensive, state-of-the-art treatment of cutting-edge methods and topics, such as collateral...
$77.99 CAD
Measuring the "health" of Italian SMEs with insolvency prediction models Z '-ScoreM and D-Score
Measuring default index of Italian SMEs
2017
EN
Measuring the "health" of Italian SMEs with insolvency prediction models Z '-ScoreM and D-Score. This book comes from the study of probability of Default began in 2007 and that continues to this day. In particular, this analysis is taken up with the study of the Rating and credit and liquidity risk during the PhD. the main objective will be to locate a model based on trusted variables for locating the State of health and level of risk of SMEs. Several studies have analyzed the probability ...
Old Price:$15.99 CADSale Price:$11.99 CAD
or Free with Kobo PlusIdentifying Stock Market Bubbles
Modeling Illiquidity Premium and Bid-Ask Prices of Financial Securities
- Series -
- Economics and Finance (R0)
2017
EN
This book introduces readers to a new approach to identifying stock market bubbles by using the illiquidity premium, a parameter derived by employing conic finance theory. Further, it shows how to develop the closed form formulas of the bid and ask prices of European options by using Black-Scholes and Kou models. By using the derived formulas and sliding windows technique, the book explains how to numerically calculate illiquidity premiums. The methods introduced here will enable readers i...
$128.99 CAD
Probability Theory
The Logic of Science
2003
EN
The standard rules of probability can be interpreted as uniquely valid principles in logic. In this book, E. T. Jaynes dispels the imaginary distinction between 'probability theory' and 'statistical inference', leaving a logical unity and simplicity, which provides greater technical power and flexibility in applications. This book goes beyond the conventional mathematics of probability theory, viewing the subject in a wider context. New results are discussed, along with applications of pro...
$138.39 CAD
Insurance and Risk Management
The Definitive Australian Guide
2019
EN
Is the leading Australian publication on this complex area directed at students, financial planners, insurance professionals and the general public.This essential guide provides practical instruction that will enhance financial planning and insurance curriculums. Insurance and Risk Management provides a clear analysis of the principles of insurance and the types of insurance products available, as well as a comprehensive discussion on insurance law, risk identification and...
$135.99 CAD











