Granularity Theory with Applications to Finance and Insurance المزيد من الكتب المشابهة

Applied Quantitative Finance Applied Quantitative Finance
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Mathematical and Statistical Methods for Insurance and Finance Mathematical and Statistical Methods for Insurance and Finance
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Risk Assessment Risk Assessment
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Model Risk In Financial Markets: From Financial Engineering To Risk Management Model Risk In Financial Markets: From Financial Engineering To Risk Management
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Fundamental Aspects of Operational Risk and Insurance Analytics Fundamental Aspects of Operational Risk and Insurance Analytics
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The Econometrics of Individual Risk The Econometrics of Individual Risk
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Predictive Modeling Applications in Actuarial Science: Volume 1 Predictive Modeling Applications in Actuarial Science: Volume 1
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Statistical Tools for Finance and Insurance Statistical Tools for Finance and Insurance
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Modelling Operational Risk Using Bayesian Inference Modelling Operational Risk Using Bayesian Inference
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Concentration Risk in Credit Portfolios Concentration Risk in Credit Portfolios
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Analysis of Panel Data: Third Edtition Analysis of Panel Data: Third Edtition
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Encyclopedia of Financial Models, Volume III Encyclopedia of Financial Models, Volume III
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Financial Modeling Under Non-Gaussian Distributions Financial Modeling Under Non-Gaussian Distributions
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Measuring Corporate Default Risk Measuring Corporate Default Risk
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Dynamic Factor Models Dynamic Factor Models
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