Regression Modeling with Actuarial and Financial Applications Regression Modeling with Actuarial and Financial Applications
International Series On Actuarial Science

Regression Modeling with Actuarial and Financial Applications

    • 79,99 $
    • 79,99 $

От издателя

This text gives budding actuaries and financial analysts a foundation in multiple regression and time series. They will learn about these statistical techniques using data on the demand for insurance, lottery sales, foreign exchange rates, and other applications. Although no specific knowledge of risk management or finance is presumed, the approach introduces applications in which statistical techniques can be used to analyze real data of interest. In addition to the fundamentals, this book describes several advanced statistical topics that are particularly relevant to actuarial and financial practice, including the analysis of longitudinal, two-part (frequency/severity), and fat-tailed data. Datasets with detailed descriptions, sample statistical software scripts in 'R' and 'SAS', and tips on writing a statistical report, including sample projects, can be found on the book's Web site: http://research.bus.wisc.edu/RegActuaries.

ЖАНР
Бизнес и личные финансы
РЕЛИЗ
2009
30 ноября
ЯЗЫК
EN
английский
ОБЪЕМ
785
стр.
ИЗДАТЕЛЬ
Cambridge University Press
ПРОДАВЕЦ
Cambridge University Press
РАЗМЕР
33,3
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