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CRC Press Monte Carlo Methods in Finance and Insurance Book

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Description

Master complex financial and actuarial calculations with Monte Carlo Methods and Models in Finance and Insurance. Part of the Chapman and Hall/CRC Financial Mathematics Series, this text provides a balanced approach between theoretical foundations and real-world applications. It covers essential topics including stochastic process basics and recent algorithmic developments. Readers gain access to advanced methods such as the multilevel Monte Carlo method, the statistical Romberg method, and the Heath-Platen estimator. The book also explores modern financial and actuarial models, including the Cheyette and dynamic mortality models. Whether you are studying econometrics or professional financial modeling, this resource offers the technical depth needed to understand contemporary Monte Carlo techniques and their practical uses in the insurance and finance sectors.

Key Features

New and mint condition book to ensure high quality for your professional or academic library.

B086KH8MMD

Includes modern actuarial and financial models such as Cheyette and dynamic mortality models.

Provides a detailed look at the Heath-Platen estimator and various Monte Carlo techniques.

Fast shipping with same day dispatch for all orders received before 12 noon.

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Stress-free shopping with a no quibbles returns policy.

Product Specifications

Format
hardcover
Domain
Amazon UK
Release Date
26 February 2010
Listed Since
12 November 2007

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