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Semi-Markov Risk Models for Finance, Insurance and Reliability Cover Image E-book E-book

Semi-Markov Risk Models for Finance, Insurance and Reliability [electronic resource] / by Janssen Jacques, Manca Raimondo.

Jacques, Janssen. (author.). Raimondo, Manca. (author.). SpringerLink (Online service) (Added Author).

Record details

  • ISBN: 9780387707303
  • Physical Description: XVII, 429 p. online resource.
  • Publisher: Boston, MA : Springer US, 2007.
Subject: Mathematics.
Finance.
Numerical analysis.
Distribution (Probability theory).
Banks and banking.
Mathematics.
Probability Theory and Stochastic Processes.
Quantitative Finance.
Finance /Banking.
Financial Economics.
Numerical Analysis.

Electronic resources


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24510. ‡aSemi-Markov Risk Models for Finance, Insurance and Reliability ‡h[electronic resource] / ‡cby Janssen Jacques, Manca Raimondo.
264 1. ‡aBoston, MA : ‡bSpringer US, ‡c2007.
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650 0. ‡aMathematics.
650 0. ‡aFinance.
650 0. ‡aNumerical analysis.
650 0. ‡aDistribution (Probability theory).
650 0. ‡aBanks and banking.
65014. ‡aMathematics.
65024. ‡aProbability Theory and Stochastic Processes.
65024. ‡aQuantitative Finance.
65024. ‡aFinance /Banking.
65024. ‡aFinancial Economics.
65024. ‡aNumerical Analysis.
7001 . ‡aRaimondo, Manca. ‡eauthor.
7102 . ‡aSpringerLink (Online service)
7730 . ‡tSpringer eBooks
77608. ‡iPrinted edition: ‡z9780387707297
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