Semi-Markov Risk Models for Finance, Insurance and Reliability
Autor:
Springer Nature EN
Verlag:
Springer Nature EN
Sprache:
English
From the reviews:
"The book under review aims to give a complete and self-contained presentation of semi-Markov models with finitely many states, in view of solving real life problems of risk management in three main fields: Finance, Insurance and Reliability. … important feature of this book is its presentation of both homogenous and non-homogenous models. This book addresses a very large public as it includes undergraduate and graduate students in mathematics and applied mathematics, in economics and business studies, actuaries, financial intermediaries, engineers and operation researchers." (Nico G. Gamkrelidze, Zentralblatt MATH, Vol. 1144, 2008)
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ISBN
978-0-387-70729-7
EAN
9780387707297
Erscheinungsjahr
3/26/2007
Verlag
Springer Nature EN
Author
Janssen, Jacques;Manca, Raimondo
Sprache
English
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