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This book provides a comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management and equips readers - whether financial risk analysts, actuaries, regulators, or students of quantitative finance - with practical tools to solve real-world problems
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Die Mathematik als Grundlage von Planungs- und Entscheidungsprozessen in Wissenschaft, Wirtschaft und Verwaltung besitzt zahlreiche und vielfältige Anwendungsgebiete. Entsprechend ihrer Bedeutung werden in dem Lehrbuch die für die wirtschaftswissenschaftlichen Anwendungen wichtigen Teilgebiete...
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The interaction between mathematicians and statisticians reveals to be an effective approach to the analysis of insurance and financial problems, in particular in an operative perspective. The Maf2006 conference, held at the University of Salerno in 2006, had precisely this purpose and the...
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Intro -- Contents -- Preface -- 1 Introduction -- 2 Linear Equations and Computer Basics -- 3 Nonlinear Equations and Complementarity Problems -- 4 Finite-Dimensional Optimization -- 5 Numerical Integration and Differentiation -- 6 Function Approximation -- 7 Discrete Time, Discrete State...
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