Granularity Theory with Applications to Finance and Insurance 비슷한 책 더 보기

Applied Quantitative Finance Applied Quantitative Finance
2017년
Mathematical and Statistical Methods for Insurance and Finance Mathematical and Statistical Methods for Insurance and Finance
2007년
Risk Assessment Risk Assessment
2008년
Model Risk In Financial Markets: From Financial Engineering To Risk Management Model Risk In Financial Markets: From Financial Engineering To Risk Management
2015년
Fundamental Aspects of Operational Risk and Insurance Analytics Fundamental Aspects of Operational Risk and Insurance Analytics
2015년
The Econometrics of Individual Risk The Econometrics of Individual Risk
2011년
Predictive Modeling Applications in Actuarial Science: Volume 1 Predictive Modeling Applications in Actuarial Science: Volume 1
2014년
Statistical Tools for Finance and Insurance Statistical Tools for Finance and Insurance
2011년
Modelling Operational Risk Using Bayesian Inference Modelling Operational Risk Using Bayesian Inference
2011년
Concentration Risk in Credit Portfolios Concentration Risk in Credit Portfolios
2008년
Analysis of Panel Data: Third Edtition Analysis of Panel Data: Third Edtition
2016년
Encyclopedia of Financial Models, Volume III Encyclopedia of Financial Models, Volume III
2012년
Financial Modeling Under Non-Gaussian Distributions Financial Modeling Under Non-Gaussian Distributions
2007년
Measuring Corporate Default Risk Measuring Corporate Default Risk
2011년
Dynamic Factor Models Dynamic Factor Models
2016년