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1
9783319720043 - Hanspeter Schmidli: Risk Theory
Hanspeter Schmidli

Risk Theory (2018)

Lieferung erfolgt aus/von: Deutschland ~EN PB NW

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, Springer, Taschenbuch, neu.

45,99 + Versand: 6,00 = 51,99
unverbindlich
Lieferung aus: Deutschland, Sofort lieferbar.
This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management. Taschenbuch, 11.04.2018.
2
9783319720043 - Risk Theory

Risk Theory (2018)

Lieferung erfolgt aus/von: Österreich ~EN PB NW

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, Springer, Taschenbuch, neu.

46,99 + Versand: 3,50 = 50,49
unverbindlich
Lieferung aus: Österreich, Versandfertig innerhalb 48 Stunden.
This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management. Taschenbuch, 11.04.2018.
3
9783319720043 - Hanspeter Schmidli: Risk Theory
Symbolbild
Hanspeter Schmidli

Risk Theory (2018)

Lieferung erfolgt aus/von: Deutschland DE PB NW

ISBN: 9783319720043 bzw. 331972004X, in Deutsch, Springer-Verlag Gmbh Apr 2018, Taschenbuch, neu.

49,60 ($ 60,35)¹ + Versand: 17,14 ($ 20,85)¹ = 66,74 ($ 81,20)¹
unverbindlich
Von Händler/Antiquariat, BuchWeltWeit Inh. Ludwig Meier e.K. [57449362], Bergisch Gladbach, Germany.
Neuware - This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management. 223 pp. Englisch.
4
9783319720043 - Hanspeter Schmidli: Risk Theory (Springer Actuarial)
Hanspeter Schmidli

Risk Theory (Springer Actuarial) (2018)

Lieferung erfolgt aus/von: Vereinigte Staaten von Amerika EN PB NW FE

ISBN: 9783319720043 bzw. 331972004X, in Englisch, 242 Seiten, Springer, Taschenbuch, neu, Erstausgabe.

39,91 ($ 48,56)¹ + Versand: 3,28 ($ 3,99)¹ = 43,19 ($ 52,55)¹
unverbindlich

New from: $48.56 (19 Offers)
Used from: $52.32 (8 Offers)
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Lieferung aus: Vereinigte Staaten von Amerika, Usually ships in 6-10 business days, Real shipping costs can differ.
Von Händler/Antiquariat, Wordery Specialist.
This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management., Paperback, Edition: 1st ed. 2017, Label: Springer, Springer, Product group: Book, Published: 2018-04-04, Release date: 2018-04-11, Studio: Springer, Sales rank: 7743631.
5
9783319720043 - Hanspeter Schmidli: Risk Theory
Hanspeter Schmidli

Risk Theory

Lieferung erfolgt aus/von: Vereinigte Staaten von Amerika ~EN PB NW

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, Springer Shop, Taschenbuch, neu.

54,42 ($ 59,99)¹
unverbindlich
Lieferung aus: Vereinigte Staaten von Amerika, Lagernd, zzgl. Versandkosten.
This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management. Soft cover.
6
9783319720043 - Hanspeter Schmidli: Risk Theory
Hanspeter Schmidli

Risk Theory

Lieferung erfolgt aus/von: Deutschland ~EN PB NW

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, Springer-Verlag Gmbh, Taschenbuch, neu.

Lieferung aus: Deutschland, Versandkostenfrei.
Risk Theory: This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management. Englisch, Taschenbuch.
7
9783319720043 - Schmidli: | Risk Theory | Springer | 1st ed. 2017 | 2018
Schmidli

| Risk Theory | Springer | 1st ed. 2017 | 2018

Lieferung erfolgt aus/von: Deutschland ~EN NW

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, Springer, neu.

This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II. Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management.
8
9783319720043 - Risk Theory

Risk Theory

Lieferung erfolgt aus/von: Niederlande ~EN NW AB

ISBN: 9783319720043 bzw. 331972004X, vermutlich in Englisch, neu, Hörbuch.

39,54
unverbindlich
Lieferung aus: Niederlande, Lieferzeit: 5 Tage, zzgl. Versandkosten.
This book provides an overview of classical actuarial techniques, including material that is not readily accessible elsewhere such as the Ammeter risk model and the Markov-modulated risk model. Other topics covered include utility theory, credibility theory, claims reserving and ruin theory. The author treats both theoretical and practical aspects and also discusses links to Solvency II.Written by one of the leading experts in the field, these lecture notes serve as a valuable introduction to some of the most frequently used methods in non-life insurance. They will be of particular interest to graduate students, researchers and practitioners in insurance, finance and risk management.
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