Computation and Modelling in Insurance and Finance: An Introduction (International Series on Actuarial Science)

5 valoración promedio
( 1 valoraciones por GoodReads )
 
9780521830485: Computation and Modelling in Insurance and Finance: An Introduction (International Series on Actuarial Science)

This practical introduction outlines methods for analysing actuarial and financial risk at a fairly elementary mathematical level suitable for graduate students, actuaries and other analysts in the industry who could use simulation as a problem solver. Numerous exercises with R-code illustrate the text.

"Sinopsis" puede pertenecer a otra edición de este libro.

From the Publisher:

Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion of the Monte Carlo method and its use. Part II deals with general insurance and Part III with life insurance and financial risk. Algorithms that can be implemented on any programming platform are spread throughout and a program library written in R is included. Numerous figures and experiments with R-code illustrate the text. The author's non-technical approach is ideal for graduate students, the only prerequisites being introductory courses in calculus and linear algebra, probability and statistics. The book will also be of value to actuaries and other analysts in the industry looking to update their skills.

About the Author:

Erik Bølviken, with broad experience as an applied statistician, holds the Chair of Actuarial Science at the University of Oslo and was for many years a partner in Gabler and Partners, Oslo.

"Sobre este título" puede pertenecer a otra edición de este libro.

Comprar nuevo Ver libro

Gastos de envío: GRATIS
De Reino Unido a Estados Unidos de America

Destinos, gastos y plazos de envío

Añadir al carrito

Los mejores resultados en AbeBooks

1.

Bølviken, Erik
Editorial: CAMBRIDGE UNIVERSITY PRESS, United Kingdom (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 1
Librería
The Book Depository
(London, Reino Unido)
Valoración
[?]

Descripción CAMBRIDGE UNIVERSITY PRESS, United Kingdom, 2014. Hardback. Estado de conservación: New. 244 x 180 mm. Language: English . Brand New Book. Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion of the Monte Carlo method and its use. Part II deals with general insurance and Part III with life insurance and financial risk. Algorithms that can be implemented on any programming platform are spread throughout and a program library written in R is included. Numerous figures and experiments with R-code illustrate the text. The author s non-technical approach is ideal for graduate students, the only prerequisites being introductory courses in calculus and linear algebra, probability and statistics. The book will also be of value to actuaries and other analysts in the industry looking to update their skills. Nº de ref. de la librería AAZ9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 96,07
Convertir moneda

Añadir al carrito

Gastos de envío: GRATIS
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

2.

Bølviken, Erik
Editorial: CAMBRIDGE UNIVERSITY PRESS, United Kingdom (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 1
Librería
The Book Depository US
(London, Reino Unido)
Valoración
[?]

Descripción CAMBRIDGE UNIVERSITY PRESS, United Kingdom, 2014. Hardback. Estado de conservación: New. 244 x 180 mm. Language: English . Brand New Book. Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion of the Monte Carlo method and its use. Part II deals with general insurance and Part III with life insurance and financial risk. Algorithms that can be implemented on any programming platform are spread throughout and a program library written in R is included. Numerous figures and experiments with R-code illustrate the text. The author s non-technical approach is ideal for graduate students, the only prerequisites being introductory courses in calculus and linear algebra, probability and statistics. The book will also be of value to actuaries and other analysts in the industry looking to update their skills. Nº de ref. de la librería AAZ9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 96,22
Convertir moneda

Añadir al carrito

Gastos de envío: GRATIS
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

3.

Bølviken, Erik
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Cantidad: 3
Librería
Speedy Hen LLC
(Sunrise, FL, Estados Unidos de America)
Valoración
[?]

Descripción Estado de conservación: New. Bookseller Inventory # ST0521830486. Nº de ref. de la librería ST0521830486

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 96,77
Convertir moneda

Añadir al carrito

Gastos de envío: GRATIS
A Estados Unidos de America
Destinos, gastos y plazos de envío

4.

Bølviken, Erik
Editorial: Cambridge University Press 2014-04-10|NU-GRD-05090916 (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 4
Librería
Chiron Media
(Wallingford, Reino Unido)
Valoración
[?]

Descripción Cambridge University Press 2014-04-10|NU-GRD-05090916, 2014. Hardcover. Estado de conservación: New. 9780521830485. Nº de ref. de la librería NU-GRD-05090916

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 95,25
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 3,42
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

5.

Bølviken, Erik
Editorial: Cambridge University Press 2014-04-10, Cambridge (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: > 20
Librería
Blackwell's
(Oxford, OX, Reino Unido)
Valoración
[?]

Descripción Cambridge University Press 2014-04-10, Cambridge, 2014. hardback. Estado de conservación: New. Nº de ref. de la librería 9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 93,56
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 5,11
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

6.

Bølviken, Erik
Editorial: Cambridge University Press (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Cantidad: 4
Librería
Books2Anywhere
(Fairford, GLOS, Reino Unido)
Valoración
[?]

Descripción Cambridge University Press, 2014. HRD. Estado de conservación: New. New Book. Shipped from UK in 4 to 14 days. Established seller since 2000. Nº de ref. de la librería GB-9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 88,67
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 10,22
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

7.

Bølviken, Erik
Editorial: Cambridge University Press (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 4
Librería
Speedy Hen
(London, Reino Unido)
Valoración
[?]

Descripción Cambridge University Press, 2014. Estado de conservación: New. Bookseller Inventory # ST0521830486. Nº de ref. de la librería ST0521830486

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 82,36
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 21,58
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

8.

Bølviken, Erik
Editorial: Cambridge University Press
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 4
Librería
THE SAINT BOOKSTORE
(Southport, Reino Unido)
Valoración
[?]

Descripción Cambridge University Press. Hardback. Estado de conservación: new. BRAND NEW, Computation and Modelling in Insurance and Finance: An Introduction, Eric Bolviken, Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion of the Monte Carlo method and its use. Part II deals with general insurance and Part III with life insurance and financial risk. Algorithms that can be implemented on any programming platform are spread throughout and a program library written in R is included. Numerous figures and experiments with R-code illustrate the text. The author's non-technical approach is ideal for graduate students, the only prerequisites being introductory courses in calculus and linear algebra, probability and statistics. The book will also be of value to actuaries and other analysts in the industry looking to update their skills. Nº de ref. de la librería B9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 98,98
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 6,75
De Reino Unido a Estados Unidos de America
Destinos, gastos y plazos de envío

9.

Bølviken, Erik
Editorial: Cambridge University Press (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Primera edición Cantidad: 4
Librería
Valoración
[?]

Descripción Cambridge University Press, 2014. Estado de conservación: New. A user-oriented, practical introduction outlining methods for analysing actuarial and financial risk. Series: International Series on Actuarial Science. Num Pages: 709 pages, 80 b/w illus. 45 tables 550 exercises. BIC Classification: PBT. Category: (P) Professional & Scholarly. Dimension: 181 x 248 x 37. Weight in Grams: 1518. . 2014. 1st Edition. Hardcover. . . . . . Nº de ref. de la librería V9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 108,11
Convertir moneda

Añadir al carrito

Gastos de envío: GRATIS
De Irlanda a Estados Unidos de America
Destinos, gastos y plazos de envío

10.

Bølviken, Erik
Editorial: Cambridge University Press (2014)
ISBN 10: 0521830486 ISBN 13: 9780521830485
Nuevos Tapa dura Cantidad: 4
Librería
Green Books
(Wicklow, Irlanda)
Valoración
[?]

Descripción Cambridge University Press, 2014. Hardcover. Estado de conservación: New. Brand New Book. Shipping: Once your order has been confirmed and payment received, your order will then be processed. The book will be located by our staff, packaged and despatched to you as quickly as possible. From time to time, items get mislaid en route. If your item fails to arrive, please contact us first. We will endeavour to trace the item for you and where necessary, replace or refund the item. Please do not leave negative feedback without contacting us first. All orders will be dispatched within two working days. If you have any quesions please contact us. Nº de ref. de la librería V9780521830485

Más información sobre esta librería | Hacer una pregunta a la librería

Comprar nuevo
EUR 107,05
Convertir moneda

Añadir al carrito

Gastos de envío: EUR 4,99
De Irlanda a Estados Unidos de America
Destinos, gastos y plazos de envío

Existen otras copia(s) de este libro

Ver todos los resultados de su búsqueda