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Penanda Bagikan

E Book

Statistical Tools for Finance and Insurance

SpringerLink (Online service) - Nama Orang; Cizek, Pavel. - Nama Orang; Härdle, Wolfgang Karl. - Nama Orang; Weron, Rafał. - Nama Orang;

Finance -- Stable Distributions -- Extreme Value Analysis and Copulas -- Tail Dependence -- Pricing of Catastrophe Bonds -- Common Functional Implied Volatility Analysis -- Implied Trinomial Trees -- Heston's Model and the Smile -- FFT-based Option Pricing -- Valuation of Mortgage Backed Securities: from Optimality to Reality -- Predicting Bankruptcy with Support Vector Machines -- Econometric and Fuzzy Modelling of Indonesian Money Demand -- Nonparametric Productivity Analysis -- Insurance -- Loss Distributions -- Modeling of the Risk Process -- Ruin Probabilities in Finite and Infinite Time -- Stable Diffusion Approximation of the Risk Process -- Risk Model of Good and Bad Periods -- Premiums in the Individual and Collective Risk Models -- Pure Risk Premiums under Deductibles -- Premiums, Investments, and Reinsurance -- General -- Working with the XQC.Statistical Tools in Finance and Insurance presents ready-to-use solutions, theoretical developments and method construction for many practical problems in quantitative finance and insurance. Written by practitioners and leading academics in the field of quantitative finance and insurance, this book offers a unique combination of topics from which every market analyst and risk manager will benefit. Features of the book: - Offers insight into new methods and the applicability of the stochastic technology - Provides the tools, instruments and (online) algorithms for recent techniques in quantitative finance and modern treatments in insurance calculations. - Covers topics such as heavy tailed distributions, implied trinomial trees, pricing of CAT bonds, simulation of risk processes and ruin probability approximation - Presents extensive examples - The downloadable electronic edition of the book offers interactive tools "This book presents modern tools for quantitative analysis in finance and insurance. It provides a smooth introduction into advanced techniques applicable to a wide range of practical problems. The fact that all examples can be reproduced by the XploRe Quantlet Server technique makes it a "sure buy" for both practioners and theoretical analysts." Prof. Dr. Helmut Gründl, Dr. Wolfgang Schieren Chair for Insurance and Risk Management, sponsored by Allianz AG and Stifterverband für die Deutsche Wissenschaft  .


Ketersediaan
#
Koleksi E Book Belum memasukkan lokasi
9783540273950
Tersedia
Informasi Detail
Judul Seri
-
No. Panggil
-
Penerbit
Berlin, Heidelberg : Springer., 2005
Deskripsi Fisik
IV, 518 p.online resource.
Bahasa
English
ISBN/ISSN
9783540273950
Klasifikasi
330.015195
Tipe Isi
-
Tipe Media
-
Tipe Pembawa
-
Edisi
1st ed. 2005.
Subjek
Statistics .
Economics, Mathematical .
Quantitative Finance.
Statistics for Business, Management, Economics, Finance, Insurance.
Info Detail Spesifik
-
Pernyataan Tanggungjawab
Pavel Cizek, Wolfgang Karl Härdle, Rafał Weron.
Versi lain/terkait

Tidak tersedia versi lain

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