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Statistical Tools for Finance and Insurance First Edition by Pavel Cizek, Wolfgang Hardle,Rafal Weron ISBN 3540221891 978-3540221890

  • SKU: BELL-2113676
Statistical Tools for Finance and Insurance First Edition by Pavel Cizek, Wolfgang Hardle,Rafal Weron ISBN 3540221891 978-3540221890
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Statistical Tools for Finance and Insurance First Edition by Pavel Cizek, Wolfgang Hardle,Rafal Weron ISBN 3540221891 978-3540221890 instant download after payment.

Publisher: Springer
File Extension: PDF
File size: 5.48 MB
Pages: 521
Author: Pavel Čížek, Wolfgang Karl Härdle, Rafał Weron, Editors
ISBN: 3540221891
Language: English
Year: 2005
Edition: 1

Product desciption

Statistical Tools for Finance and Insurance First Edition by Pavel Cizek, Wolfgang Hardle,Rafal Weron ISBN 3540221891 978-3540221890 by Pavel Čížek, Wolfgang Karl Härdle, Rafał Weron, Editors 3540221891 instant download after payment.

Statistical Tools for Finance and Insurance First Edition by Pavel Cizek, Wolfgang Hardle, Rafal Weron - Ebook PDF Instant Download/Delivery: 3540221891, 978-3540221890

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Product details:

ISBN 10: 3540221891

ISBN 13: 978-3540221890 

Author: Pavel Cizek, Wolfgang Hardle, Rafal Weron

Statistical Tools for 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, this book offers a unique combination of topics from which every market analyst and risk manager will benefit. Features of the significantly enlarged and revised second

Table of contents:

I. Finance
1.1 Models for heavy-tailed asset returns (Szymon Borak, Adam Misiorek, and Rafał Weron)
1.2 Expected shortfall (Simon A. Broda and Marc S. Paolella)
1.3 Modelling conditional heteroscedasticity in nonstationary series (Pavel Cížek)
1.4 FX smile in the Heston model (Agnieszka Janek, Tino Kluge, Rafał Weron, and Uwe Wystup)
1.5 Pricing of Asian temperature risk (Fred Espen Benth, Wolfgang Karl Härdle, and Brenda Lopez Cabrera)
1.6 Variance swaps (Wolfgang Karl Härdle and Elena Silyakova)
1.7 Learning machines to help predict bankruptcy (Wolfgang Karl Härdle, Linda Hoffmann, and Rouslan Moro)
1.8 Distance matrix method for network structure analysis (Janusz Miśkiewicz)

II. Insurance
2.1 Building loss models (Krzysztof Burnecki, Joanna Janczura, and Rafał Weron)
2.2 Ruin probability in finite time (Krzysztof Burnecki and Marek Teuerle)
2.3 Property and casualty insurance pricing with GLMs (Jan Iwanik)
2.4 Pricing of catastrophe bonds (Krzysztof Burnecki, Grzegorz Kukla, and David Taylor)
2.5 Return distributions of equity-linked retirement plans (Nils Detering, Andreas Weber, and Uwe Wystup)

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Tags: Pavel Cizek, Wolfgang Hardle, Rafal Weron, Statistical, Tools, Finance, Insurance

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