01775nam0 2200433 i 450 VAN006070820230223092535.20335-406-1703-520070730d1970 |0itac50 baengDE|||| |||||Mathematical methods in risk theoryHans BuhlmannBerlinSpringer1970XII, 210 p.24 cm001VAN00241072001 Grundlehren der mathematischen WissenschaftenA series of comprehensive texts in mathematics210 Berlin [etc.]Springer17260GxxStochastic processes [MSC 2020]VANC020000MF91B06Decision theory [MSC 2020]VANC021413MFActuarial mathematicsKW:KActuarial sciencesKW:KInsuranceKW:KLife insuranceKW:KMathematicaKW:KMathematicsKW:KMethodsKW:KProbabilityKW:KQuantitative FinanceKW:KRisk theoryKW:KinterestKW:KBerlinVANL000066BuhlmannHansVANV047922375668Springer <editore>VANV108073650ITSOL20240614RICA/sebina/repository/catalogazione/documenti/Buhlmann - Mathematical Methods in Risk Theory.pdfBuhlmann - Mathematical Methods in Risk Theory.pdfBIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICAIT-CE0120VAN08VAN0060708BIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICA08PREST 91-XX 628 08 7802 I 20070730 Mathematical methods in risk theory240713UNICAMPANIA