Introduction to Insurance Mathematics : Technical and Financial Features of Risk Transfers / by Annamaria Olivieri, Ermanno Pitacco.
Material type: TextSeries: EAA SeriesPublication details: New York: Springer, c2015Edition: 2nd edDescription: XVIII, 508 p.: ill.; 25 cmISBN:- 9783319213774
- 519 23
- HG8781 .O45 2015
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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Books | Zetech Library - Mang'u General Stacks | Non-fiction | HG8781 .O45 2015 (Browse shelf(Opens below)) | C1 | Available | Z010268 |
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HG4026 .V36 2009 Fundamentals of financial management / | HG4529.R4 1979 Investment Analysis and Portfolio Management/ | HG6024.A3 .R66 2017 Analytical Finance: Volume I : The Mathematics of Equity Derivatives, Markets, Risk and Valuation / | HG8781 .O45 2015 Introduction to Insurance Mathematics : Technical and Financial Features of Risk Transfers / | HG8781 .P76 2015 Fundamentals of actuarial mathematics / | HG8781 .P76 2015 Fundamentals of actuarial mathematics / | HG8781 .R68 2015 Actuarial models : the mathematics of insurance / |
1 Risks and Insurance -- 2 Managing a Portfolio of Risks -- Life Insurance: Modeling the Lifetime -- 4 Life Insurance: Pricing -- 5 Life Insurance: Reserving -- 6 Reserves and Profits in a Life Insurance Portfolio -- 7 Finance in Life Insurance: Linking Benefits to the Investment Performance -- 8 Pension Plans: Technical and Financial Perspectives -- 9 Non-life Insurance: Pricing and Reserving -- Index.
This second edition expands the first chapters, which focus on the approach to risk management issues discussed in the first edition, to offer readers a better understanding of the risk management process and the relevant quantitative phases. In the following chapters the book examines life insurance, non-life insurance and pension plans, presenting the technical and financial aspects of risk transfers and insurance without the use of complex mathematical tools. The book is written in a comprehensible style making it easily accessible to advanced undergraduate and graduate students in Economics, Business and Finance, as well as undergraduate students in Mathematics who intend starting on an actuarial qualification path. With the systematic inclusion of practical topics, professionals will find this text useful when working in insurance and pension related areas, where investments, risk analysis and financial reporting play a major role.
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