Mathematical and Statistical Methods for Actuarial Sciences and Finance -
- Format: Broché Voir le descriptif
Vous en avez un à vendre ?
Vendez-le-vôtre221,83 €
Produit Neuf
Ou 55,46 € /mois
- Livraison à 0,01 €
- Livré entre le 2 et le 9 mai
Brand new, In English, Fast shipping from London, UK; Tout neuf, en anglais, expédition rapide depuis Londres, Royaume-Uni;ria9783030996406_dbm
- Payez directement sur Rakuten (CB, PayPal, 4xCB...)
- Récupérez le produit directement chez le vendeur
- Rakuten vous rembourse en cas de problème
Gratuit et sans engagement
Félicitations !
Nous sommes heureux de vous compter parmi nos membres du Club Rakuten !
TROUVER UN MAGASIN
Retour
Avis sur Mathematical And Statistical Methods For Actuarial Sciences And Finance de Format Broché - Livre Littérature Générale
0 avis sur Mathematical And Statistical Methods For Actuarial Sciences And Finance de Format Broché - Livre Littérature Générale
Les avis publiés font l'objet d'un contrôle automatisé de Rakuten.
-
Cogs, Caravels And Galleons
Occasion dès 154,38 €
-
Play Piano With Diana Krall
Occasion dès 217,99 €
-
Triumph Of Vulcan: Sculptors' Tools, Porphyry, And The Prince In Ducal Florence
Occasion dès 220,00 €
-
The Feynman Lectures On Physics. The New Millennium Edition
1 avis
Neuf dès 241,85 €
-
Cosaan =: Les Origines (La Civilisation Sereer) (French Edition)
Occasion dès 226,58 €
-
Six Volumes Complete. Le Robert Dictionnaire Alphabétique Et Analogique De La Langue Française. (In French) 1966 Ex-Library Edition
Occasion dès 300,00 €
-
Illuminations-2cd-Prix Conseille 24.20 E/Ttc
Occasion dès 160,00 €
-
Hans Arp
1 avis
Occasion dès 299,00 €
-
A Glastonbury Romance
Occasion dès 111,99 €
-
Diseases Of Poultry
Neuf dès 286,82 €
-
Orthodontic Treatment Of Impacted Teeth
Neuf dès 228,30 €
-
The Princeton Companion To Applied Mathematics
Neuf dès 128,31 €
Occasion dès 139,99 €
-
Enseignement Oral De Platon: Une Nouvelle Interprétation Du Platonisme (French Edition)
1 avis
Occasion dès 149,99 €
-
Maison Martin Margiela : Street Special Edition Volumes 1 & 2
Occasion dès 190,00 €
-
A Practical Guide To Chemical Peels, Microdermabrasion & Topical Products
1 avis
Neuf dès 158,90 €
-
David Yarrow
Neuf dès 123,00 €
Occasion dès 192,01 €
-
The Viniyoga Of Yoga, Applying Yoga For Healthy Living
Occasion dès 199,00 €
-
A First Course In The Finite Element Method, Enhanced Edition, Si Version
Neuf dès 130,02 €
-
Financial Markets And Institutions, Global Edition
Neuf dès 117,78 €
-
Bsava Manual Of Canine And Feline Abdominal Imaging
Neuf dès 128,28 €
Produits similaires
Présentation Mathematical And Statistical Methods For Actuarial Sciences And Finance de Format Broché
- Livre Littérature Générale
Résumé :
The cooperation and contamination among mathematicians, statisticians and econometricians working in actuarial sciences and finance are improving the research on these topics and producing numerous meaningful scientific results. This volume presents new ideas in the form of four- to six-page papers presented at the International Conference MAF2022 - Mathematical and Statistical Methods for Actuarial Sciences and Finance. Due to the COVID-19 pandemic, the conference, to which this book is related, was organized in a hybrid form by the Department of Economics and Statistics of the University of Salerno, with the partnership of the Department of Economics of C? Foscari University of Venice, and was held from 20 to 22 April 2022 in Salerno (Italy) MAF2022 is the tenth edition of an international biennial series of scientific meetings, started in 2004 on the initiative of the Department of Economics and Statistics of the University of Salerno. It has establisheditself internationally with gradual and continuous growth and scientific enrichment. The effectiveness of this idea has been proven by the wide participation in all the editions, which have been held in Salerno (2004, 2006, 2010, 2014, 2022), Venice (2008, 2012 and 2020 online), Paris (2016) and Madrid (2018). This book covers a wide variety of subjects: artificial intelligence and machine learning in finance and insurance, behavioural finance, credit risk methods and models, dynamic optimization in finance, financial data analytics, forecasting dynamics of actuarial and financial phenomena, foreign exchange markets, insurance models, interest rate models, longevity risk, models and methods for financial time series analysis, multivariate techniques for financial markets analysis, pension systems, portfolio selection and management, real-world finance, risk analysis and management, trading systems, and others. This volume is a valuable resource for academics, PhD students, practitioners, professionals and researchers. Moreover, it is also of interest to other readers with quantitative background knowledge....
Biographie:
.
Sommaire:
The cooperation and contamination among mathematicians, statisticians and econometricians working in actuarial sciences and finance are improving the research on these topics and producing numerous meaningful scientific results. This volume presents new ideas in the form of four- to six-page papers presented at the International Conference MAF2022 - Mathematical and Statistical Methods for Actuarial Sciences and Finance. Due to the COVID-19 pandemic, the conference, to which this book is related, was organized in a hybrid form by the Department of Economics and Statistics of the University of Salerno, with the partnership of the Department of Economics of C? Foscari University of Venice, and was held from 20 to 22 April 2022 in Salerno (Italy) MAF2022 is the tenth edition of an international biennial series of scientific meetings, started in 2004 on the initiative of the Department of Economics and Statistics of the University of Salerno. It has establisheditself internationally with gradual and continuous growth and scientific enrichment. The effectiveness of this idea has been proven by the wide participation in all the editions, which have been held in Salerno (2004, 2006, 2010, 2014, 2022), Venice (2008, 2012 and 2020 online), Paris (2016) and Madrid (2018). This book covers a wide variety of subjects: artificial intelligence and machine learning in finance and insurance, behavioural finance, credit risk methods and models, dynamic optimization in finance, financial data analytics, forecasting dynamics of actuarial and financial phenomena, foreign exchange markets, insurance models, interest rate models, longevity risk, models and methods for financial time series analysis, multivariate techniques for financial markets analysis, pension systems, portfolio selection and management, real-world finance, risk analysis and management, trading systems, and others. This volume is a valuable resource for academics, PhD students, practitioners, professionals and researchers. Moreover, it is also of interest to other readers with quantitative background knowledge....
Détails de conformité du produit
Personne responsable dans l'UE