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010 _a 2019753220
020 _a9783319898230 (hbk)
035 _a(DE-He213)978-3-319-50234-2
040 _aDLC
_beng
_epn
_erda
_cDLC
_dBD-DhUL
072 7 _aBUS033000
_2bisacsh
072 7 _aKFFN
_2bicssc
072 7 _aKFFN
_2thema
082 _a330.015195
_bMAT
245 1 0 _aMathematical and statistical methods for actuarial sciences and finance :
_bMAF 2018 /
_cedited by Marco Corazza ...[et al.].
260 _aCham :
_bSpringer,
_c2018.
300 _axvi, 518 p. :
_bill. (some col.) ;
_c24 cm.
365 _aEuro
_b199.93
504 _aIncludes bibliographical references.
520 _aThis volume gathers selected peer-reviewed papers presented at the international conference "MAF 2016 - Mathematical and Statistical Methods for Actuarial Sciences and Finance", held in Paris (France) at the Université Paris-Dauphine from March 30 to April 1, 2016. The contributions highlight new ideas on mathematical and statistical methods in actuarial sciences and finance. The cooperation between mathematicians and statisticians working in insurance and finance is a very fruitful field, one that yields unique theoretical models and practical applications, as well as new insights in the discussion of problems of national and international interest. This volume is addressed to academicians, researchers, Ph.D. students and professionals.
588 _aDescription based on publisher-supplied MARC data.
650 0 _aEconometrics.
650 0 _aMathematical optimization.
700 1 _aCorazza, Marco.
_eed.
700 1 _aDurban, Maria.
_eed.
700 1 _aGrane, Aurea.
_eed.
700 1 _aPerna, Cira.
_eed.
700 1 _aSibillo, Marilena.
_eed.
776 0 8 _iPrint version:
_tMathematical and statistical methods for actuarial sciences and finance : MAF 2016
_z9783319502335
_w(DLC) 2017962872
776 0 8 _iPrinted edition:
_z9783319502335
776 0 8 _iPrinted edition:
_z9783319502359
776 0 8 _iPrinted edition:
_z9783319843520
906 _a0
_bibc
_corigres
_du
_encip
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_gy-gencatlg
942 _2ddc
_cBK
999 _c257145
_d257145