Opis
This work offers a comprehensive exploration of the interdisciplinary approaches utilized in actuarial science and finance. It delves into the mathematical and statistical techniques essential for professionals in these fields, showcasing the collaborative nature of their application. Readers will encounter a variety of methodologies that bridge the gaps between mathematics, statistics, and finance, emphasizing their significance in addressing real-world financial issues.
The authors, a diverse group of experts, bring together their insights and experiences, making the content accessible yet thorough. This book serves as an invaluable resource for students and practitioners alike, providing them with the tools and knowledge necessary to navigate the complexities of actuarial sciences and finance in today's dynamic environment.
The authors, a diverse group of experts, bring together their insights and experiences, making the content accessible yet thorough. This book serves as an invaluable resource for students and practitioners alike, providing them with the tools and knowledge necessary to navigate the complexities of actuarial sciences and finance in today's dynamic environment.
Szczegóły książki
Format
Twarda okładka
Strony
415 stron
Język
Angielski
Opublikowany
Dec 14, 2021
Wydawca
Springer
Wydania
2 editions
ISBN-10
3030789640
ISBN-13
9783030789640