Semi-Markov Risk Models for Finance, Insurance and Reliability
by
Jacques, Janssen. author.
Title
:
Semi-Markov Risk Models for Finance, Insurance and Reliability
Author
:
Jacques, Janssen. author.
Physical Description
:
XVII, 429 p. online resource.
Subject Term
:
Mathematics.
Finance.
Numerical analysis.
Distribution (Probability theory).
Banks and banking.
Added Author
:
Raimondo, Manca.
Added Corporate Author
:
SpringerLink (Online service)
Electronic Access
:
Library | Material Type | Item Barcode | Shelf Number | [[missing key: search.ChildField.HOLDING]] | Status |
---|
Online Library | E-Book | 166761-2001 | ONLINE | | Elektronik Kütüphane |