Statistical Tools for Finance and Insurance - Tapa blanda

 
9783540221890: Statistical Tools for Finance and Insurance

Sinopsis

Written in an accessible and engaging style, this self-instructional book makes a good use of extensive examples and full explanations. The electronic edition, allowing the reader to run, modify, and enhance all quantlets on the spot, can be downloaded at no cost via the attached license registration card.

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

Críticas

From the reviews of the first edition: "This book is designed for students, researchers and practitioners who want to be introduced to modern statistical tools applied in finance and insurance. ... The text is comprehensible for a graduate student in financial engineering as well as for an inexperienced newcomer to quantitative finance and insurance who wants to get a grip on advanced statistical tools applied in these fields. An experienced reader ... will hopefully enjoy the various computational tools." (Edward M. Psyadlo, Zentralblatt MATH, Vol. 1078, 2006) "The book under review provides a comprehensive collection of articles on modern quantitative analysis in finance and insurance. In particular ... use of formulas and its illustrative examples are attractive to the intended audience." (Dr. Mathias Fischer, Statistical Papers, Vol. 48, 2006) "The present book, written by Wolfgang Härdle and some of his collaborators, is a welcome addition to the literature in this area. ... The book covers a wide range of topical and useful ground. It has plenty of data analysis, plenty of graphics and plenty of references, most of them recent standard texts or recent research contributions or reprints. It will certainly be useful for its intended audience and is worth having for the range of topics and the references alone." (N. H. Bingham, Significance, Vol. 3 (3), 2006) "This book offers a unique combination of topics from which every market analyst and risk manager will benefit. ... the book does not only offers practitioners insight into new methods for their applications, but it also gives theoreticians insight into the applicability of the stochastic technology. ... Written in an accessible and engaging style, this self-instructional book makes a good use of extensive examples and full explanations. The design of the text links theory and computational tools in an innovative way." (Zeitschrift für die gesamte Versicherungswissenschaft, Issue 1, 2006)

Reseña del editor

Written in an accessible and engaging style, this self-instructional book makes a good use of extensive examples and full explanations. The electronic edition, allowing the reader to run, modify, and enhance all quantlets on the spot, can be downloaded at no cost via the attached license registration card.

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

Otras ediciones populares con el mismo título

9783540802174: Statistical Tools for Finance and Insurance

Edición Destacada

ISBN 10:  3540802177 ISBN 13:  9783540802174
Editorial: Springer, 2008
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