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Forventes på lager: 10-04-2014
This practical introduction outlines methods for analysing actuarial and financial risk at a fairly elementary mathematical level suitable for graduate students, actuaries and other analysts in the industry who could use simulation as a problem solver. Numerous exercises with R-code illustrate the text.
| Forlag | Cambridge University Press |
| Forfatter | Erik (Universitetet i Oslo) Bølviken |
| Type | Bog |
| Format | Hardback |
| Sprog | Engelsk |
| Udgivelsesdato | 10-04-2014 |
| Første udgivelsesår | 2014 |
| Serie | International Series on Actuarial Science |
| Illustrationer | Worked examples or Exercises; 45 Tables, black and white; 80 Line drawings, unspecified |
| Originalsprog | United Kingdom |
| Sideantal | 712 |
| Indbinding | Hardback |
| Forlag | Cambridge University Press |
| Sideoplysninger | 712 pages, Worked examples or Exercises; 45 Tables, black and white; 80 Line drawings, unspecified |
| Mål | 181 x 248 x 37 |
| ISBN-13 / EAN-13 | 9780521830485 |