01936nam0 22004453i 450 VAN025509520230523030856.279N978354030711220230223d1970 |0itac50 baengDE|||| |||||Mathematical methods in risk theoryHans BuhlmannBerlinSpringer1970XII, 210 p.24 cm001VAN00241072001 Grundlehren der mathematischen WissenschaftenA series of comprehensive texts in mathematics210 Berlin [etc.]Springer17291BxxMathematical economics [MSC 2020]VANC024654MF91-XXGame theory, economics, finance, and other social and behavioral sciences [MSC 2020]VANC025601MF62P05Applications of statistics to actuarial sciences and financial mathematics [MSC 2020]VANC030682MFActuarial mathematicsKW:KActuarial sciencesKW:KInsuranceKW:KLife insuranceKW:KMathematicaKW:KMathematicsKW:KMethodsKW:KProbabilityKW:KQuantitative FinanceKW:KRisk theoryKW:KinterestKW:KBuhlmannHansVANV047922375668Springer <editore>VANV108073650ITSOL20240614RICAhttps://doi.org/10.1007/978-3-540-30711-2E-book – Accesso al full-text attraverso riconoscimento IP di Ateneo, proxy e/o ShibbolethBIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICAIT-CE0120VAN08NVAN0255095BIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICA08CONS e-book 5483 08eMF5483 20230301 Mathematical methods in risk theory240713UNICAMPANIA