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Norli Bokhandel

Computation and Modelling in Insurance and Finance

2014, Innbundet, Engelsk

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Focusing on what actuaries need in practice, this introductory account provides readers with essential tools for handling complex problems and explains how simulation models can be created, used and re-used (with modifications) in related situations. The book begins by outlining the basic tools of modelling and simulation, including a discussion of the Monte Carlo method and its use. Part II deals with general insurance and Part III with life insurance and financial risk.

Algorithms that can be implemented on any programming platform are spread throughout and a program library written in R is included. Numerous figures and experiments with R-code illustrate the text. The author's non-technical approach is ideal for graduate students, the only prerequisites being introductory courses in calculus and linear algebra, probability and statistics.

Produktegenskaper

  • Forfatter

  • Forlag/Utgiver

    Thanke AS
  • Format

    Innbundet
  • Språk

    Engelsk
  • Utgivelsesår

    2014
  • Antall sider

    712
  • Varenummer

    9780521830485

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