Udvidet returret til d. 31. januar 2025

Semi-Markov Risk Models for Finance, Insurance and Reliability

Bag om Semi-Markov Risk Models for Finance, Insurance and Reliability

After a presentation of the main probabilistic tools necessary for understanding of the book, the authors show how to apply semi-Markov processes in finance, starting from the axiomatic definition and continuing eventually to the most advanced financial tools.

Vis mere
  • Sprog:
  • Engelsk
  • ISBN:
  • 9781441943576
  • Indbinding:
  • Paperback
  • Sideantal:
  • 430
  • Udgivet:
  • 12. oktober 2010
  • Udgave:
  • 12007
  • Størrelse:
  • 234x156x23 mm.
  • Vægt:
  • 682 g.
  • BLACK WEEK
  Gratis fragt
Leveringstid: 8-11 hverdage
Forventet levering: 13. december 2024
Forlænget returret til d. 31. januar 2025

Beskrivelse af Semi-Markov Risk Models for Finance, Insurance and Reliability

After a presentation of the main probabilistic tools necessary for understanding of the book, the authors show how to apply semi-Markov processes in finance, starting from the axiomatic definition and continuing eventually to the most advanced financial tools.

Brugerbedømmelser af Semi-Markov Risk Models for Finance, Insurance and Reliability



Find lignende bøger
Bogen Semi-Markov Risk Models for Finance, Insurance and Reliability findes i følgende kategorier:

Gør som tusindvis af andre bogelskere

Tilmeld dig nyhedsbrevet og få gode tilbud og inspiration til din næste læsning.