Mathematical and Statistical Methods for Actuarial Sciences and Finance More Books Like This

Mathematical and Statistical Methods for Actuarial Sciences and Finance Mathematical and Statistical Methods for Actuarial Sciences and Finance
2022
Innovations in Quantitative Risk Management Innovations in Quantitative Risk Management
2015
Applied Quantitative Finance Applied Quantitative Finance
2008
Artificial Intelligence for Financial Markets Artificial Intelligence for Financial Markets
2022
Financial Modeling Under Non-Gaussian Distributions Financial Modeling Under Non-Gaussian Distributions
2007
Advanced Modelling in Mathematical Finance Advanced Modelling in Mathematical Finance
2016
MODERN FINANCIAL ENGINEERING MODERN FINANCIAL ENGINEERING
2021
Network Models in Economics and Finance Network Models in Economics and Finance
2014
Bayesian Inference in the Social Sciences Bayesian Inference in the Social Sciences
2014
Commodities, Energy and Environmental Finance Commodities, Energy and Environmental Finance
2015
Mindful Topics on Risk Analysis and Design of Experiments Mindful Topics on Risk Analysis and Design of Experiments
2022
Extreme Financial Risks Extreme Financial Risks
2006
Applied Probabilistic Calculus for Financial Engineering Applied Probabilistic Calculus for Financial Engineering
2017
Linear Models and Time-Series Analysis Linear Models and Time-Series Analysis
2018
Innovations in Derivatives Markets Innovations in Derivatives Markets
2016