El libro está agotado actualmente

Más información sobre el libro
The book addresses the challenges finance and insurance companies encounter with parametric statistical problems, focusing on statistical experiments involving independent but not identically distributed random variables. It delves into both classical and non-classical experiments, highlighting the complexities arising from dependent random variables. The exploration of these statistical frameworks aims to enhance understanding and application in real-world financial and insurance contexts.
Compra de libros
Statistical Inference in Financial and Insurance Mathematics with R, Alexandre Brouste
- Idioma
- Publicado en
- 2017
- product-detail.submit-box.info.binding
- (Tapa dura)
Te avisaremos por correo electrónico en cuanto lo localicemos.
Métodos de pago
Nadie lo ha calificado todavía.