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Bemærk: Kan ikke leveres før jul.
They outline the European insurance market before going on to show how Solvency II and Insurance Distribution Directive (IDD) are... Læs mere
Bemærk: Kan ikke leveres før jul.
This book explores how a range of innovative disruptive technologies is about to combine to transform the insurance industry, the products it produces, and the way the industry is managed.
Bemærk: Kan ikke leveres før jul.
Developed from the Second International Congress on Actuarial Science and Quantitative Finance, this volume showcases the latest progress in all theoretical and empirical aspects of actuarial science and quantitative finance.
Bemærk: Kan ikke leveres før jul.
The interaction between mathematicians and statisticians has been shown to be an e?ective approach for dealing with actuarial, insurance and ?nancial problems, both from an academic perspective and from an operative one.
Bemærk: Kan ikke leveres før jul.
This book makes a substantial contribution to the general level of management education in insurance by providing a comprehensive review of the main issues facing the management of insurance enterprises.
Bemærk: Kan ikke leveres før jul.
This innovative book provides the first detailed analysis of the increasing convergence of banking and insurance in the retail area, a trend commonly referred to as bancassurance.
Bemærk: Kan ikke leveres før jul.
Banking markets have experienced a general trend towards conglomeration in recent years which has been facilitated by the deregulation of banks' activities. A particular feature of... Læs mere
Bemærk: Kan ikke garanteres før jul. Se dato på varen.
Sustainable Financial Structured Products: Managing Risk Appetite across Modelling,... Læs mere
Bemærk: Kan ikke leveres før jul.
Additionally, this book conducts a comprehensive analysis of the new metrics the market has created to model, price, and manage... Læs mere
Bemærk: Kan ikke garanteres før jul. Se dato på varen.
Just by living in the USA, people there have worse health than those in any other high-income country, and some poorer ones, despite having the... Læs mere
Bemærk: Kan ikke leveres før jul.
This book presents a consistent and complete framework for studying the risk management of a pension fund.
Bemærk: Kan ikke leveres før jul.
It provides a number of the latest handy management models, such as the Three-Phase Model, Governance Model and Management Matrix, which help leaders and managers arrive at well thought-out risk management decisions.