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This title is printed to order. This book may have been self-published. If so, we cannot guarantee the quality of the content. In the main most books will have gone through the editing process however some may not. We therefore suggest that you be aware of this before ordering this book. If in doubt check either the author or publisher’s details as we are unable to accept any returns unless they are faulty. Please contact us if you have any questions.
This 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 Universite 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.
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This title is printed to order. This book may have been self-published. If so, we cannot guarantee the quality of the content. In the main most books will have gone through the editing process however some may not. We therefore suggest that you be aware of this before ordering this book. If in doubt check either the author or publisher’s details as we are unable to accept any returns unless they are faulty. Please contact us if you have any questions.
This 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 Universite 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.