Semi-Markov Risk Models for Finance, Insurance and Reliability
Language: English
Published by Springer, 2007
- Hardcover
- New

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AbeBooks seller since April 6, 2009
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- Title
- Semi-Markov Risk Models for Finance, Insurance and Reliability
- Author
- Janssen, Jacques; Manca, Raimondo
- Publisher
- Springer
- Publication year
- 2007
- Condition
- New
- Binding
- Hardcover
- Language
- English
- ISBN 10
- 0387707298
- ISBN 13
- 9780387707297
"Synopsis" may belong to another edition of this title.
From the Back Cover
This book presents applications of semi-Markov processes in finance, insurance and reliability, using real-life problems as examples. After a presentation of the main probabilistic tools necessary for understanding of the book, the authors show how to apply semi-Markov processes in finance, starting from the axiomatic definition and continuing eventually to the most advanced financial tools, particularly in insurance and in risk-and-ruin theories. Also considered are reliability problems that interact with credit risk theory in finance. The unique approach of this book is to solve finance and insurance problems with semi-Markov models in a complete way and furthermore present real-life applications of semi-Markov processes.
Audience
This book is intended for applied mathematicians, statisticians, financial intermediaries, actuaries, engineers, operations researchers.
"About the title" may belong to another edition of this title.
GreatBookPrices
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