Actuarial Sciences and Quantitative Finance

ICASQF2016, Cartagena, Colombia, June 2016

Business & Finance, Industries & Professions, Insurance, Nonfiction, Science & Nature, Mathematics, Applied
Cover of the book Actuarial Sciences and Quantitative Finance by , Springer International Publishing
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Author: ISBN: 9783319665368
Publisher: Springer International Publishing Publication: October 24, 2017
Imprint: Springer Language: English
Author:
ISBN: 9783319665368
Publisher: Springer International Publishing
Publication: October 24, 2017
Imprint: Springer
Language: English

Developed from the Second International Congress on Actuarial Science and Quantitative Finance, this volume showcases the latest progress in all theoretical and empirical aspects of actuarial science and quantitative finance. Held at the Universidad de Cartagena in Cartegena, Colombia in June 2016, the conference emphasized relations between industry and academia and provided a platform for practitioners to discuss problems arising from the financial and insurance industries in the Andean and Caribbean regions. Based on invited lectures as well as carefully selected papers, these proceedings address topics such as statistical techniques in finance and actuarial science, portfolio management, risk theory, derivative valuation and economics of insurance.

View on Amazon View on AbeBooks View on Kobo View on B.Depository View on eBay View on Walmart

Developed from the Second International Congress on Actuarial Science and Quantitative Finance, this volume showcases the latest progress in all theoretical and empirical aspects of actuarial science and quantitative finance. Held at the Universidad de Cartagena in Cartegena, Colombia in June 2016, the conference emphasized relations between industry and academia and provided a platform for practitioners to discuss problems arising from the financial and insurance industries in the Andean and Caribbean regions. Based on invited lectures as well as carefully selected papers, these proceedings address topics such as statistical techniques in finance and actuarial science, portfolio management, risk theory, derivative valuation and economics of insurance.

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