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Stochastic Risk Analysis and Management

Stochastic Risk Analysis and Management

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Stochastic Risk Analysis and Management

Boris Harlamov

Mathematics / General

The author investigates the Cramer –Lundberg model, collecting the most interesting theorems and methods, which estimate probability of default for a company of insurance business. These offer different kinds of approximate values for probability of default on the base of normal and diffusion approach and some special asymptotic.

Boris Harlamov, Head of Laboratory of Institute of Problems of Mechanical Engineering (IPME), RAN.

Publication Date: 27 March 2017
Publisher: Wiley
Imprint: Wiley-ISTE
ISBN-13: 9781786300089
Format: Hardback
Page Count: 160
Weight (oz): 17.6

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