Financial and Actuarial Statistics

Financial and Actuarial Statistics
Title Financial and Actuarial Statistics PDF eBook
Author Dale S. Borowiak
Publisher CRC Press
Pages 392
Release 2013-11-12
Genre Business & Economics
ISBN 0203911245

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Understand Up-to-Date Statistical Techniques for Financial and Actuarial ApplicationsSince the first edition was published, statistical techniques, such as reliability measurement, simulation, regression, and Markov chain modeling, have become more prominent in the financial and actuarial industries. Consequently, practitioners and students must ac

Financial and Actuarial Statistics

Financial and Actuarial Statistics
Title Financial and Actuarial Statistics PDF eBook
Author Dale S. Borowiak
Publisher CRC Press
Pages 357
Release 2003-04-01
Genre Mathematics
ISBN 0824748611

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Based on a loss function approach, this comprehensive reference reviews the most recent advances in financial and actuarial modeling, providing a strong statistical background for advanced methods in pension plan structuring, risk estimation, and modeling of investment and options pricing. An authoritative tool supplying every conceptual model and

Actuarial Mathematics for Life Contingent Risks

Actuarial Mathematics for Life Contingent Risks
Title Actuarial Mathematics for Life Contingent Risks PDF eBook
Author David C. M. Dickson
Publisher Cambridge University Press
Pages 513
Release 2009-09-24
Genre Business & Economics
ISBN 1139479458

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How can actuaries best equip themselves for the products and risk structures of the future? Using the powerful framework of multiple state models, three leaders in actuarial science give a modern perspective on life contingencies, and develop and demonstrate a theory that can be adapted to changing products and technologies. The book begins traditionally, covering actuarial models and theory, and emphasizing practical applications using computational techniques. The authors then develop a more contemporary outlook, introducing multiple state models, emerging cash flows and embedded options. Using spreadsheet-style software, the book presents large-scale, realistic examples. Over 150 exercises and solutions teach skills in simulation and projection through computational practice. Balancing rigour with intuition, and emphasising applications, this text is ideal for university courses, but also for individuals preparing for professional actuarial exams and qualified actuaries wishing to freshen up their skills.

The Handbook of Graph Algorithms and Applications

The Handbook of Graph Algorithms and Applications
Title The Handbook of Graph Algorithms and Applications PDF eBook
Author Krishnaiyan Thulasiraman
Publisher CRC Press
Pages 656
Release 2015-05-12
Genre Mathematics
ISBN 1482227061

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The Handbook of Graph Algorithms, Volume II : Applications focuses on a wide range of algorithmic applications, including graph theory problems. The book emphasizes new algorithms and approaches that have been triggered by applications. The approaches discussed require minimal exposure to related technologies in order to understand the material. Each chapter is devoted to a single application area, from VLSI circuits to optical networks to program graphs, and features an introduction by a pioneer researcher in that particular field. The book serves as a single-source reference for graph algorithms and their related applications.

Modelling Mortality with Actuarial Applications

Modelling Mortality with Actuarial Applications
Title Modelling Mortality with Actuarial Applications PDF eBook
Author Angus S. Macdonald
Publisher Cambridge University Press
Pages 387
Release 2018-05-03
Genre Business & Economics
ISBN 110704541X

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Modern mortality modelling for actuaries and actuarial students, with example R code, to unlock the potential of individual data.

Bayesian Statistics in Actuarial Science

Bayesian Statistics in Actuarial Science
Title Bayesian Statistics in Actuarial Science PDF eBook
Author Stuart A. Klugman
Publisher Springer Science & Business Media
Pages 242
Release 2013-04-17
Genre Business & Economics
ISBN 9401708452

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The debate between the proponents of "classical" and "Bayesian" statistica} methods continues unabated. It is not the purpose of the text to resolve those issues but rather to demonstrate that within the realm of actuarial science there are a number of problems that are particularly suited for Bayesian analysis. This has been apparent to actuaries for a long time, but the lack of adequate computing power and appropriate algorithms had led to the use of various approximations. The two greatest advantages to the actuary of the Bayesian approach are that the method is independent of the model and that interval estimates are as easy to obtain as point estimates. The former attribute means that once one learns how to analyze one problem, the solution to similar, but more complex, problems will be no more difficult. The second one takes on added significance as the actuary of today is expected to provide evidence concerning the quality of any estimates. While the examples are all actuarial in nature, the methods discussed are applicable to any structured estimation problem. In particular, statisticians will recognize that the basic credibility problem has the same setting as the random effects model from analysis of variance.

Some Recent Researches in the Theory of Statistics and Actuarial Science

Some Recent Researches in the Theory of Statistics and Actuarial Science
Title Some Recent Researches in the Theory of Statistics and Actuarial Science PDF eBook
Author J. F. Steffensen
Publisher Cambridge University Press
Pages 63
Release 2016-02-25
Genre Business & Economics
ISBN 1316601919

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Originally published in 1930, this book was formed from the content of three lectures delivered at London University during March of that year. The text provides a concise discussion of the relationship between theoretical statistics and actuarial science. This book will be of value to anyone with an interest in the actuarial profession, statistics and the history of finance.