Probability for Risk Management

Probability for Risk Management

Product ID: 156698548X Condition: USED (All books in used condition)

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Product Description

Condition - Very Good

The item shows wear from consistent use but remains in good condition. It may arrive with damaged packaging or be repackaged.

Probability for Risk Management

  • Used Book in Good Condition

This text is listed on the Course of Reading for the Exam P of the Society of Actuaries and the Exam 1 of the Casualty Actuarial Society. This unique text differs from most intermediate probability texts in that it focuses the theory directly on applications in the general field of financial risk management, including insurance, economics and finance. It will be appropriate for a first course in probability for students who have previously had two semesters of calculus. Past actuarial exam questions are included at the end of each chapter. This book will serve as an excellent background text for the more advanced probability material included on the Exams MLC and C of the SOA, Exams 3L and 4 of the CAS and the EA-1 Exam of the Joint Board for the Enrollment of Actuaries. It was designed for several audiences, including students of actuarial science, mathematical economics, finance and risk management. It will provide an interesting and appropriate preparation for mathematically gifted students in finance and economics. It is not abstract or proof-oriented. Rather, it shows the student how to use probability theory to solve real-world problems.

Technical Specifications

Country
USA
Brand
Brand: ACTEX Publications
Manufacturer
ACTEX Publications
Binding
Paperback
ItemPartNumber
521MYA00142W
UnitCount
1
EANs
9781566985482