Regression Modeling with Actuarial and Financial Applications

Edward W. (University of Wisconsin, Madison) Frees

Cambridge University Press, 2009

229,75 €On orderDelivery: 2-3 weeks

This book gives actuarial and finance students a foundation in multiple regression and time series, and discusses advanced statistical topics that are relevant to actuarial and financial practice. It uses statistical techniques to analyze real data in risk management and finance. No specific knowledge of these areas is presumed.

ISBN-13
9780521760119
ISBN-10
0521760119
Publisher
Cambridge University Press
Year
2009
Publication date
2009-11-30
Pages
584
Dimensions
256x182x40
Weight
1118