Introduction to Actuarial and Financial Mathematical Methods

This self-contained module for independent study covers the subjects most often needed by non-mathematics graduates, such as fundamental calculus, linear algebra, probability, and basic numerical methods. The easily-understandable text of Introduction to Actuarial and Mathematical Methods features examples, motivations, and lots of practice from a large number of end-of-chapter questions. For readers with diverse backgrounds entering programs of the Institute and Faculty of Actuaries, the Society of Actuaries, and the CFA Institute, Introduction to Actuarial and Mathematical Methods can provide a consistency of mathematical knowledge from the outset. Presents a self-study mathematics refresher course for the first two years of an actuarial program Features examples, motivations, and practice problems from a large number of end-of-chapter questions designed to promote independent thinking and the application of mathematical ideas Practitioner friendly rather than academic Ideal for self-study and as a reference source for readers with diverse backgrounds entering programs of the Institute and Faculty of Actuaries, the Society of Actuaries, and the CFA Institute

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  • Author : Stephen Garrett
  • Publisher : Academic Press
  • Pages : 624 pages
  • ISBN : 0128004916
  • Rating : 4/5 from 21 reviews
CLICK HERE TO GET THIS BOOKIntroduction to Actuarial and Financial Mathematical Methods

Introduction to Actuarial and Financial Mathematical Methods

Introduction to Actuarial and Financial Mathematical Methods
  • Author : Stephen Garrett
  • Publisher : Academic Press
  • Release : 02 May 2015
GET THIS BOOKIntroduction to Actuarial and Financial Mathematical Methods

This self-contained module for independent study covers the subjects most often needed by non-mathematics graduates, such as fundamental calculus, linear algebra, probability, and basic numerical methods. The easily-understandable text of Introduction to Actuarial and Mathematical Methods features examples, motivations, and lots of practice from a large number of end-of-chapter questions. For readers with diverse backgrounds entering programs of the Institute and Faculty of Actuaries, the Society of Actuaries, and the CFA Institute, Introduction to Actuarial and Mathematical Methods can provide

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  • Publisher : John Wiley & Sons
  • Release : 01 April 2019
GET THIS BOOKActuarial Finance

A new textbook offering a comprehensive introduction to models and techniques for the emerging field of actuarial Finance Drs. Boudreault and Renaud answer the need for a clear, application-oriented guide to the growing field of actuarial finance with this volume, which focuses on the mathematical models and techniques used in actuarial finance for the pricing and hedging of actuarial liabilities exposed to financial markets and other contingencies. With roots in modern financial mathematics, actuarial finance presents unique challenges due to

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  • Publisher : CRC Press
  • Release : 12 November 2013
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  • Publisher : John Wiley & Sons
  • Release : 06 January 2011
GET THIS BOOKFundamentals of Actuarial Mathematics

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  • Publisher : CRC Press
  • Release : 08 May 2017
GET THIS BOOKAn Introduction to Excel VBA Programming

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  • Publisher : CRC Press
  • Release : 24 January 2020
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  • Publisher : Butterworth-Heinemann
  • Release : 28 May 2013
GET THIS BOOKAn Introduction to the Mathematics of Finance

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  • Publisher : Springer
  • Release : 30 September 2015
GET THIS BOOKIntroduction to Insurance Mathematics

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  • Publisher : Springer Science & Business Media
  • Release : 17 April 2013
GET THIS BOOKAn Introduction to Actuarial Mathematics

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  • Publisher : CRC Press
  • Release : 24 October 2018
GET THIS BOOKFinancial Mathematics

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  • Release : 02 July 2020
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  • Publisher : Springer Science & Business Media
  • Release : 22 June 2007
GET THIS BOOKAdvances in Mathematical Finance

This self-contained volume brings together a collection of chapters by some of the most distinguished researchers and practitioners in the field of mathematical finance and financial engineering. Presenting state-of-the-art developments in theory and practice, the book has real-world applications to fixed income models, credit risk models, CDO pricing, tax rebates, tax arbitrage, and tax equilibrium. It is a valuable resource for graduate students, researchers, and practitioners in mathematical finance and financial engineering.

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  • Publisher : Springer
  • Release : 17 July 2018
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  • Publisher : Cambridge University Press
  • Release : 12 August 2013
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  • Release : 05 March 2007
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