Risk Insurance Theory and Practice
The book deals with the problems of financial-economic management of insurance processes using actuarial-mathematical methods and MathCAD program - mathematical package. Theoretical suppositions are supported by calculation examples. The material is intended for experts familiar with the fundamentals of the probability theory and mathematical statistics, and involved in practical insurance. The book may be of use as a study guide for students specialized in insurance.
- 2010 г.
- 9785864763070
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