LEADER 01756nam0 2200361 i 450 001 SUN0124297 005 20191015112245.421 010 $d0.00 017 70$2N$a978-3-319-50234-2 100 $a20191014d2017 |0engc50 ba 101 $aeng 102 $aCH 105 $a|||| ||||| 200 1 $a*Mathematical and statistical methods for actuarial sciences and finance$eMAF 2016$fMarco Corazza ... [et al.] editors 205 $aCham : Springer, 2017 210 $aviii$d169 p.$cill. ; 24 cm 215 $aPubblicazione in formato elettronico 606 $a91B05$xRisk models (general) [MSC 2020]$2MF$3SUNC019981 606 $a91Gxx$xActuarial science and mathematical finance [MSC 2020]$2MF$3SUNC020093 606 $a00B25$xProceedings of conferences of miscellaneous specific interest [MSC 2020]$2MF$3SUNC020732 606 $a62-XX$xStatistics [MSC 2020]$2MF$3SUNC022998 606 $a91-XX$xGame theory, economics, finance, and other social and behavioral sciences [MSC 2020]$2MF$3SUNC025601 606 $a62Pxx$xApplications of statistics [MSC 2020]$2MF$3SUNC027777 620 $aCH$dCham$3SUNL001889 702 1$aCorazza$b, Marco$3SUNV077894 712 12$aInternational conference on Mathematical and Statistical Methods for Actuarial Sciences and Finance$f2016$eParis$3SUNV095738 712 $aSpringer$3SUNV000178$4650 801 $aIT$bSOL$c20210503$gRICA 856 4 $uhttp://doi.org/10.1007/978-3-319-50234-2 912 $aSUN0124297 950 $aUFFICIO DI BIBLIOTECA DEL DIPARTIMENTO DI MATEMATICA E FISICA$d08CONS e-book 0761 $e08eMF761 20191014 996 $aMathematical and statistical methods for actuarial sciences and finance$91137179 997 $aUNICAMPANIA