Mathematical methods in risk theory by Hans Buhlmann
Series: ; Publication details: New York Springer 1996 Edition: Description: 208pISBN: Uniform titles: Subject(s): | | | | | | | Risk (Insurance); Insurance--Mathematics; Statistics; Banks and banking; Economics; Finance; MathematicsDDC classification: 519.287 Online resources: Click here to access online| Item type | Current library | Call number | Status | Date due | Barcode |
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Central University Of Rajasthan | 519.287 B86M (Browse shelf(Opens below)) | Available | 5195 |
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| 368.01 B64M Modern actuarial theory and practice | 332.015195 B64F Financial and actuarial statistics | 519.23 G76M Mixed poisson processes | 519.287 B86M Mathematical methods in risk theory | 650.01513 E16M Modelling extremal events | 368.01 B86C A course in credibility theory and its applications | 519.2 G97T Theory of stochastic processes |

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