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In the 1970's, the research agenda in insurance was dominated by optimal insurance coverage, security design, and equilibrium under conditions of imperfect information. The …
The u.s. government bulks large in the nation's financial markets. The huge volume of government-issued and -sponsored debt affects the pricing and volume ofprivate debt and, …
Financial Risk and Derivatives provides an excellent illustration of the links that have developed in recent years between the theory of finance on one hand and insurance …
Ausdruck der Selbstverwaltungsautonomie der gesetzlichen Krankenkassen ist der Vergütungskodex als Maßstab für die Standards guter Unternehmensführung und des dazu gehörigen …
Financial Risk and Derivatives provides an excellent illustration of the links that have developed in recent years between the theory of finance on one hand and insurance …
This volume is a milestone on our journey toward developing a more comprehensive understanding of the underpinnings of corporate financial performance. Weare concerned with both …
This book provides readers with the necessary capabilities to meet the challenge of building and testing resilient IT services. Upon introducing the fundamentals of cyber …
Dieses Sachbuch bietet privaten Anlegern eine erprobte Methode, Aktien mit einfachen Mitteln in drei Dimensionen zu analysieren, um eine fundierte Kaufentscheidung zu treffen. …
Two related trends have created novel challenges for managing risk in the United States. The first trend is a series of dramatic changes in liability law as tort law has expanded …
Now in its fifth edition, this book offers a detailed yet concise introduction to the growing field of statistical applications in finance. The reader will learn the basic methods …