

An edition of Semi-markov Risk Models for Finance, Insurance and Reliability (2007)
By Jacques Janssen
Publish Date
2010
Publisher
Gardners Books
Language
eng
Pages
430
Description:
subjects: Mathematisches Modell, Finanzwirtschaft, Finanzmathematik, Versicherung, Semi-Markov-Modell, Risiko, Risk (insurance), Markov processes, Financial crises, Risk management, Numerical analysis, Mathematics, Distribution (Probability theory), Finance, Banks and banking, Probability Theory and Stochastic Processes, Quantitative Finance, Finance /Banking, Financial Economics