£59.98

Springer Financial Modeling, Actuarial Valuation and Solvency in Insurance (Springer Finance)

Price data checked 1 day ago

View at Amazon

We'll watch every seller, every day. One email when your price arrives.

It has never been this cheap. We have no record of a lower price.

£60 today · cheaper than every other day in the last 3 months

NEW HERE?

Amazon shows you one price. We show you all of them.

Tosheroon watches Amazon prices so you don't have to. Every product on Amazon has a price history — we make it visible. Set the price you'd actually pay, and we'll email you the second it gets there. No app, no account, one email.

WHAT'S ON THIS PAGE

↓ Price chart
when this has been cheap or pricey
↓ Forecast
where the price is heading next
↓ Statistics
all-time high & low, recent range
↑ Price alert
name your number, we'll email you

Price History & Forecast

Grey patches = out of stock. Cheaper = lower on the chart. Hover for exact prices.

Last 90 days • 90 data points

Historical
Generating forecast...
£65.02 £59.48 £60.69 £61.90 £63.10 £64.31 £65.52 17 February 2026 11 March 2026 02 April 2026 24 April 2026 17 May 2026

Price Distribution

Price distribution over 90 days • 3 price levels

Days at Price
Current Price
13 days · current 16 days 61 days 0 15 31 46 61 £60 £63 £65 Days at Price

Price Analysis

Most common price: £65 (61 days, 67.8%)

Price range: £60 - £65

Price levels: 3 different prices over 90 days

Description

Risk management for financial institutions is one of the key topics the financial industry has to deal with. The present volume is a mathematically rigorous text on solvency modeling. Currently, there are many new developments in this area in the financial and insurance industry (Basel III and Solvency II), but none of these developments provides a fully consistent and comprehensive framework for the analysis of solvency questions. Merz and Wüthrich combine ideas from financial mathematics (no-arbitrage theory, equivalent martingale measure), actuarial sciences (insurance claims modeling, cash flow valuation) and economic theory (risk aversion, probability distortion) to provide a fully consistent framework. Within this framework they then study solvency questions in incomplete markets, analyze hedging risks, and study asset-and-liability management questions, as well as issues like the limited liability options, dividend to shareholder questions, the role of re-insurance, etc. This work embeds the solvency discussion (and long-term liabilities) into a scientific framework and is intended for researchers as well as practitioners in the financial and actuarial industry, especially those in charge of internal risk management systems. Readers should have a good background in probability theory and statistics, and should be familiar with popular distributions, stochastic processes, martingales, etc.

Product Specifications

Format
paperback
Domain
Amazon UK
Release Date
20 May 2015
Listed Since
21 May 2015

Barcode

No barcode data available

Similar Products You Might Like

Mathematical and Statistical Methods for Actuarial Sciences and Finance
82% match

Mathematical and Statistical Methods for Actuarial Sciences and Finance

Springer

£72.77 11 May 2026
An Intuitive Introduction to Finance and Derivatives: Concepts, Terminology and Models (Springer Texts in Business and Economics)
81% match

An Intuitive Introduction to Finance and Derivatives: Concepts, Terminology and Models (Springer Texts in Business and Economics)

Springer

£52.80 17 May 2026
Modern Actuarial Risk Theory: Using R
81% match

Modern Actuarial Risk Theory: Using R

Springer

£71.92 10 May 2026
Actuarial Science: Theory And Methodology
80% match

Actuarial Science: Theory And Methodology

World Scientific Publishing Company

£89.88 11 May 2026
Probability Theory: Independence, Interchangeability, Martingales (Springer Texts in Statistics)
79% match

Probability Theory: Independence, Interchangeability, Martingales (Springer Texts in Statistics)

Springer

£79.99 04 May 2026
Insurance Economics (Classroom Companion: Economics)
79% match

Insurance Economics (Classroom Companion: Economics)

Springer

£34.65 17 May 2026
Derivative Securities and Difference Methods (Springer Finance)
79% match

Derivative Securities and Difference Methods (Springer Finance)

Springer

£129.99 13 May 2026
Non-Life Insurance Mathematics: An Introduction with the Poisson Process (Universitext)
79% match

Non-Life Insurance Mathematics: An Introduction with the Poisson Process (Universitext)

Springer

£58.84 15 May 2026
Alternatives Modell zur Unternehmensbewertung deutscher Lebensversicherer: Eine Analyse auf Basis öffentlich publizierter Berichte über die Finanz- und Solvenzlage (Business, Economics, and Law)
79% match

Alternatives Modell zur Unternehmensbewertung deutscher Lebensversicherer: Eine Analyse auf Basis öffentlich publizierter Berichte über die Finanz- und Solvenzlage (Business, Economics, and Law)

Springer

£49.45 17 May 2026
Handbook of Financial Engineering: 18 (Springer Optimization and Its Applications, 18)
79% match

Handbook of Financial Engineering: 18 (Springer Optimization and Its Applications, 18)

Springer

£138.60 11 May 2026
A Game Theory Analysis of Options: Corporate Finance and Financial Intermediation in Continuous Time (Springer Finance)
79% match

A Game Theory Analysis of Options: Corporate Finance and Financial Intermediation in Continuous Time (Springer Finance)

Springer

£105.05 11 May 2026
Empirical Economic and Financial Research: Theory, Methods and Practice: 48 (Advanced Studies in Theoretical and Applied Econometrics, 48)
78% match

Empirical Economic and Financial Research: Theory, Methods and Practice: 48 (Advanced Studies in Theoretical and Applied Econometrics, 48)

Springer

£76.26 18 May 2026
Decision Making with Quantitative Financial Market Data: Applications, Precautions and Pitfalls (SpringerBriefs in Operations Research)
78% match

Decision Making with Quantitative Financial Market Data: Applications, Precautions and Pitfalls (SpringerBriefs in Operations Research)

Springer

£43.29 04 May 2026
The Art of Quantitative Finance Vol. 3: Risk, Optimal Portfolios, and Case Studies (Springer Texts in Business and Economics)
78% match

The Art of Quantitative Finance Vol. 3: Risk, Optimal Portfolios, and Case Studies (Springer Texts in Business and Economics)

Springer

£90.04 17 May 2026
Quantitative Risk Management in Agricultural Business (Springer Actuarial)
77% match

Quantitative Risk Management in Agricultural Business (Springer Actuarial)

Springer

£96.22 16 May 2026
An Introduction to Actuarial Mathematics: 14 (Mathematical Modelling: Theory and Applications, 14)
77% match

An Introduction to Actuarial Mathematics: 14 (Mathematical Modelling: Theory and Applications, 14)

Springer

£79.32 16 May 2026
Time Series in Economics and Finance
77% match

Time Series in Economics and Finance

Springer

£96.51 04 May 2026
Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk (Wiley Finance)
77% match

Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk (Wiley Finance)

Wiley

£72.49 11 May 2026
Introduction to Earnings Management
77% match

Introduction to Earnings Management

Springer

£79.98 16 May 2026
Artificial Intelligence in Economics and Finance Theories (Advanced Information and Knowledge Processing)
77% match

Artificial Intelligence in Economics and Finance Theories (Advanced Information and Knowledge Processing)

Springer

£114.66 04 May 2026
Risk-Return Relationship and Portfolio Management (India Studies in Business and Economics)
77% match

Risk-Return Relationship and Portfolio Management (India Studies in Business and Economics)

Springer

£92.04 11 May 2026
Solutions Manual for Actuarial Mathematics for Life Contingent Risks (International Series on Actuarial Science)
77% match

Solutions Manual for Actuarial Mathematics for Life Contingent Risks (International Series on Actuarial Science)

Cambridge University Press

£40.80 17 May 2026
Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies (UNIPA Springer Series)
76% match

Risk Disclosure in the European Banking Industry: Qualitative and Quantitative Content Analysis Methodologies (UNIPA Springer Series)

Springer

£80.65 04 May 2026
Summability of Multi-Dimensional Fourier Series and Hardy Spaces: 541 (Mathematics and Its Applications, 541)
76% match

Summability of Multi-Dimensional Fourier Series and Hardy Spaces: 541 (Mathematics and Its Applications, 541)

Springer

£72.77 11 May 2026