Актуарная математика

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The book "Actuarial Mathematics" under the authorship of N. Bowers and his colleagues present a fascinating and in-depth study in the field of actuarial sciences, which will become an indispensable tool for students, practicing actuaries and anyone interested in the mathematical aspects of insurance and finance. This publication is not just a textbook, but a real encyclopedia of knowledge, covering a wide range of topics related to risk assessment and financial planning. In Actuarial Mathematics, the authors invite the reader to immerse himself in the world of complex mathematical models and statistical methods that are used to analyze and predict financial risks. The book covers key topics such as probability theories, annuities, insurance reserves, and loss estimates. Each section is written in an accessible language, which allows even those who do not have deep knowledge in mathematics to gradually master complex concepts. This book will be especially interesting for students studying in the faculties of Economics, Finance and Mathematics, as well as for novice actuary who want to deepen their knowledge and skills in this field. It will also be useful to professionals working in insurance companies and financial institutions who seek to improve their analytical abilities and improve their qualifications. One of the main topics raised in Actuarial Mathematics is the importance of accurate forecasting and risk assessment under uncertainty. In today's world, where financial markets are subject to fluctuations and risks are becoming more complex, actuarial mathematics plays a key role in making informed decisions. The authors focus on how mathematical models can help in risk management, which makes the book relevant not only for theorists, but also for practitioners. Style N. Bowers and his co-authors are distinguished by the clarity and logic of the presentation. They are adept at explaining even the most complex concepts, using real-life examples and practical tasks. This makes the book not only useful, but also fascinating to read. In addition, the authors actively use modern technologies and software for data analysis, which allows readers to get acquainted with the current tools used in the industry. If you are looking for literature that will help you understand actuarial mathematics, Actuarial Mathematics will become your reliable companion. The book will not only expand your knowledge, but also inspire further research in finance and insurance. It can become the basis for your professional growth and help you become more confident in making financial decisions. In conclusion, “Actuarial Mathematics” is not just a book, but a whole world in which everyone who is interested in mathematics and its application in the financial sciences should immerse themselves. This edition will be an excellent addition to the library of any student, professional or just a lover of mathematics. Do not miss the opportunity to discover new horizons and deepen your knowledge with this unique work H. Bowers and his colleagues .
LF/721128553/R
Data sheet
- Name of the Author
- Бауэрс Н.
и др. - Language
- Russian
- ISBN
- 9785803700654
- Release date
- 2001