Borowiak (math, U. of Akron) discusses model discrimination based upon incorrect selection probability, presents diagnostic statistics and formal hypothesis test procedures to assess a model's fit and stability, explains the use of computer computations such as the jackknife and bootstrap, and demon
Based on a loss function approach, this comprehensive reference reviews the most recent advances in financial and actuarial modeling, providing a strong statistical background for advanced methods in pension plan structuring, risk estimation, and modeling of investment and options pricing. An authoritative tool supplying every conceptual model and technique required by the modern financial investigator, Financial and Actuarial Statistics offers an analysis of American options models, mortality adjustment factors for increased risk individuals, time trend regression adjustments for mortality tables, and simulation approaches for stochastic models.
Understand Up-to-Date Statistical Techniques for Financial and Actuarial ApplicationsSince the first edition was published, statistical techniques, such as reliability measurement, simulation, regression, and Markov chain modeling, have become more prominent in the financial and actuarial industries. Consequently, practitioners and students must ac
Based on a loss function approach, this comprehensive reference reviews the most recent advances in financial and actuarial modeling, providing a strong statistical background for advanced methods in pension plan structuring, risk estimation, and modeling of investment and options pricing. An authoritative tool supplying every conceptual model and
Borowiak (math, U. of Akron) discusses model discrimination based upon incorrect selection probability, presents diagnostic statistics and formal hypothesis test procedures to assess a model's fit and stability, explains the use of computer computations such as the jackknife and bootstrap, and demon
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