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Mario V. Wüthrich - Financial Modeling, Actuarial Valuation and Solvency in Insurance - 9783642313912 - V9783642313912
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Financial Modeling, Actuarial Valuation and Solvency in Insurance

€ 162.99
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Description for Financial Modeling, Actuarial Valuation and Solvency in Insurance Hardcover. This book combines ideas from financial mathematics, actuarial sciences and economic theory to give a fully consistent framework for the analysis of solvency questions. Series: Springer Finance. Num Pages: 432 pages, biography. BIC Classification: KFFN; PBT. Category: (P) Professional & Vocational. Dimension: 243 x 159 x 37. Weight in Grams: 802.

Risk management for financial institutions is one of the key topics the financial industry has to deal with. The present volume is a mathematically rigorous text on solvency modeling. Currently, there are many new developments in this area in the financial and insurance industry (Basel III and Solvency II), but none of these developments provides a fully consistent and comprehensive framework for the analysis of solvency questions. Merz and Wüthrich combine ideas from financial mathematics (no-arbitrage theory, equivalent martingale measure), actuarial sciences (insurance claims modeling, cash flow valuation) and economic theory (risk aversion, probability distortion) to provide a fully consistent ... Read more

This work embeds the solvency discussion (and long-term liabilities) into a scientific framework and is intended for researchers as well as practitioners in the financial and actuarial industry, especially those in charge of internal risk management systems. Readers should have a good background in probability theory and statistics, and should be familiar with popular distributions, stochastic processes, martingales, etc.

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Product Details

Publisher
Springer-Verlag Berlin and Heidelberg GmbH & Co. KG Germany
Number of pages
461
Format
Hardback
Publication date
2013
Condition
New
Number of Pages
432
Place of Publication
Berlin, Germany
ISBN
9783642313912
SKU
V9783642313912
Shipping Time
Usually ships in 15 to 20 working days
Ref
99-15

Reviews for Financial Modeling, Actuarial Valuation and Solvency in Insurance
From the reviews: “The purpose of this book is to introduce sound risk measurement practices which form bases of good risk management policies and solvency regulation. … I warmly recommend this book to graduate students and researchers in applied mathematics, financial mathematics, actuarial science, solvency and insurance. … The models proposed are original and very up-to-date. The book could ... Read more

Goodreads reviews for Financial Modeling, Actuarial Valuation and Solvency in Insurance


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