Detalhes do Livro
Formato
Kindle
Páginas
357
Idioma
Inglês
Publicado
Aug 26, 2010
Editora
Birkhauser
Descrição
This textbook serves as a comprehensive guide to the foundational principles of probability and statistical models, particularly focused on applications in reliability and financial mathematics. It delves into essential concepts and methodologies, equipping readers with the analytical tools needed to tackle complex problems in these fields. The authors provide a thorough exploration of the models that underpin statistical analysis, ensuring that students grasp both theory and practical application.
Through clear explanations and thoughtfully constructed examples, the book encourages critical thinking and fosters a deeper understanding of uncertainty in financial contexts as well as reliability engineering. With a balanced approach to theory and practice, it is an invaluable resource for anyone looking to enhance their skills in probabilistic reasoning and statistical inference.
Through clear explanations and thoughtfully constructed examples, the book encourages critical thinking and fosters a deeper understanding of uncertainty in financial contexts as well as reliability engineering. With a balanced approach to theory and practice, it is an invaluable resource for anyone looking to enhance their skills in probabilistic reasoning and statistical inference.
Gêneros
Ciência e Tecnologia
Negócios e Economia