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Market-Consistent Actuarial Valuation
Original price was: ₹4,990.00.₹3,993.00Current price is: ₹3,993.00.
Introduces and explains market-consistent actuarial valuation, a key tool for solvency analysis Explores the basis of modern solvency analysis in insurance Examines solvency questions for applied examples in life and non-life insurance Includes updates on regulatory changes under Solvency II Includes supplementary material: sn.pub/extras
-20%
Market-Consistent Actuarial Valuation
Original price was: ₹4,990.00.₹3,993.00Current price is: ₹3,993.00.
Introduces and explains market-consistent actuarial valuation, a key tool for solvency analysis Explores the basis of modern solvency analysis in insurance Examines solvency questions for applied examples in life and non-life insurance Includes updates on regulatory changes under Solvency II Includes supplementary material: sn.pub/extras
-20%
Mathematical and Statistical Methods for Actuarial Sciences and Finance: MAF 2016
Original price was: ₹11,767.00.₹9,414.00Current price is: ₹9,414.00.
This volume gathers selected peer-reviewed papers presented at the international conference "MAF 2016 – Mathematical and Statistical Methods for Actuarial Sciences and Finance”, held in Paris (France) at the Université Paris-Dauphine from March 30 to April 1, 2016.
-20%
Mathematical and Statistical Methods for Actuarial Sciences and Finance: MAF 2016
Original price was: ₹11,767.00.₹9,414.00Current price is: ₹9,414.00.
This volume gathers selected peer-reviewed papers presented at the international conference "MAF 2016 – Mathematical and Statistical Methods for Actuarial Sciences and Finance”, held in Paris (France) at the Université Paris-Dauphine from March 30 to April 1, 2016.
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Modelling in Life Insurance – A Management Perspective
Original price was: ₹12,809.00.₹10,248.00Current price is: ₹10,248.00.
Focusing on life insurance and pensions, this book addresses various aspects of modelling in modern insurance: insurance liabilities; asset-liability management; securitization, hedging, and investment strategies.
-20%
Modelling in Life Insurance – A Management Perspective
Original price was: ₹12,809.00.₹10,248.00Current price is: ₹10,248.00.
Focusing on life insurance and pensions, this book addresses various aspects of modelling in modern insurance: insurance liabilities; asset-liability management; securitization, hedging, and investment strategies.
-20%
Modern Survey Analysis: Using Python for Deeper Insights
Original price was: ₹10,724.00.₹8,580.00Current price is: ₹8,580.00.
This book develops survey data analysis tools in Python, to create and analyze cross-tab tables and data visuals, weight data, perform hypothesis tests, and handle special survey questions such as Check-all-that-Apply. In addition, the basics of Bayesian data analysis and its Python implementation are presented.
-20%
Modern Survey Analysis: Using Python for Deeper Insights
Original price was: ₹10,724.00.₹8,580.00Current price is: ₹8,580.00.
This book develops survey data analysis tools in Python, to create and analyze cross-tab tables and data visuals, weight data, perform hypothesis tests, and handle special survey questions such as Check-all-that-Apply. In addition, the basics of Bayesian data analysis and its Python implementation are presented.
-20%
Multivariate Time Series With Linear State Space Structure
Original price was: ₹10,724.00.₹8,580.00Current price is: ₹8,580.00.
This book presents a comprehensive study of multivariate time series with linear state space structure. The emphasis is put on both the clarity of the theoretical concepts and on efficient algorithms for implementing the theory.
-20%
Multivariate Time Series With Linear State Space Structure
Original price was: ₹10,724.00.₹8,580.00Current price is: ₹8,580.00.
This book presents a comprehensive study of multivariate time series with linear state space structure. The emphasis is put on both the clarity of the theoretical concepts and on efficient algorithms for implementing the theory.
-20%
Numerical Probability
Original price was: ₹6,554.00.₹5,244.00Current price is: ₹5,244.00.
This textbook provides a self-contained introduction to numerical methods in probability with a focus on applications to finance.
-20%
Numerical Probability
Original price was: ₹6,554.00.₹5,244.00Current price is: ₹5,244.00.
This textbook provides a self-contained introduction to numerical methods in probability with a focus on applications to finance.
-20%
Probability Theory and Mathematical Statistics: Proceedings of the Fifth Japan-USSR Symposium, held in Kyoto, Japan, July 8-14, 1986
Original price was: ₹4,986.00.₹3,989.00Current price is: ₹3,989.00.
These proceedings of the fifth joint meeting of Japanese and Soviet probabilists are a sequel to Lecture Notes in Mathematics Vols. 33O, 550 and 1O21. They comprise 61 original research papers on topics including limit theorems, stochastic analysis, control theory, statistics, probabilistic methods in number theory and mathematical physics.
-20%
Probability Theory and Mathematical Statistics: Proceedings of the Fifth Japan-USSR Symposium, held in Kyoto, Japan, July 8-14, 1986
Original price was: ₹4,986.00.₹3,989.00Current price is: ₹3,989.00.
These proceedings of the fifth joint meeting of Japanese and Soviet probabilists are a sequel to Lecture Notes in Mathematics Vols. 33O, 550 and 1O21. They comprise 61 original research papers on topics including limit theorems, stochastic analysis, control theory, statistics, probabilistic methods in number theory and mathematical physics.
-20%
Quantitative Portfolio Management
Price range: ₹4,160.00 through ₹5,661.00
This self-contained book presents the main techniques of quantitative portfolio management and associated statistical methods in a very didactic and structured way, in a minimum number of pages. The concepts of investment portfolios, self-financing portfolios and absence of arbitrage opportunities are extensively used and enable the translation of all the mathematical concepts in an easily interpretable way.
-20%
Quantitative Portfolio Management
Price range: ₹4,160.00 through ₹5,661.00
This self-contained book presents the main techniques of quantitative portfolio management and associated statistical methods in a very didactic and structured way, in a minimum number of pages. The concepts of investment portfolios, self-financing portfolios and absence of arbitrage opportunities are extensively used and enable the translation of all the mathematical concepts in an easily interpretable way.
-20%
Risk Management for Pension Funds: A Continuous Time Approach with Applications in R
Price range: ₹4,410.00 through ₹6,078.00
Provides a complete and consistent presentation of financial and actuarial risk All theoretical models are coupled with numerical methods (R codes provided) Introduces the "Martingale Method" to solve the dynamic optimization problem
-20%
Risk Management for Pension Funds: A Continuous Time Approach with Applications in R
Price range: ₹4,410.00 through ₹6,078.00
Provides a complete and consistent presentation of financial and actuarial risk All theoretical models are coupled with numerical methods (R codes provided) Introduces the "Martingale Method" to solve the dynamic optimization problem