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Series Titles (1-8 of 8)
International Series On Actuarial Science
1
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Financial enterprise risk management


Sweeting, Paul.
Cambridge ; New York : Cambridge University Press, 2011.

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2
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BestsellerE-book
 

Generalized linear models for insurance data


Jong, Piet de.
Cambridge ; New York : Cambridge University Press, 2008.

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3
book
BookPrinted Material
 

Introduction to mathematical portfolio theory


Joshi, M. S. (Mark Suresh), 1969-
Cambridge ; New York : Cambridge University Press, 2013.

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Location Call No. Status OPAC Message Public Note Gift Note
 Moore Stacks  HG4529.5 .J67 2013    Available  ---
4
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BestsellerE-book
 

Market-valuation methods in life and pension insurance


Møller, Thomas, 1972-
Cambridge : Cambridge University Press, 2007.

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5
Bestseller
BestsellerE-book
 

Nonlife actuarial models : theory, methods and evaluation


Tse, Yiu Kuen, 1952-
Cambridge ; New York : Cambridge University Press, 2009.

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6
Bestseller
BestsellerE-book
 

Regression modeling with actuarial and financial applications


Frees, Edward W.
Cambridge ; New York : Cambridge University Press, 2010.

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7
Bestseller
BestsellerE-book
 

Risk Modelling in General Insurance : From Principles to Practice.


Gray, Roger J.
Cambridge : Cambridge University Press, 2012.

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8
Bestseller
BestsellerE-book
 

Solutions manual for actuarial mathematics for life contingent risks


Dickson, D. C. M. (David C. M.), 1959- author.
Cambridge, UK ; New York : Cambridge University Press, 2012.

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