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|z 9780203911242
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|z 9781420085808
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|a (OCoLC)1162607296
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|a UAMI
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|a Borowiak, Dale,
|e author.
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|a Financial and Actuarial Statistics, 2nd Edition /
|c Borowiak, Dale.
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|a 2nd edition.
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|b Chapman and Hall/CRC,
|c 2013.
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|a 1 online resource (392 pages)
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|a text
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|a text file
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|a Understand Up-to-Date Statistical Techniques for Financial and Actuarial ApplicationsSince the first edition was published, statistical techniques, such as reliability measurement, simulation, regression, and Markov chain modeling, have become more prominent in the financial and actuarial industries. Consequently, practitioners and students must ac.
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|f Copyright © Chapman and Hall/CRC 2014
|g 2014
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|a Made available through: Safari, an O'Reilly Media Company.
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|a Online resource; Title from title page (viewed November 12, 2013)
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|a O'Reilly
|b O'Reilly Online Learning: Academic/Public Library Edition
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650 |
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|a Assurance
|x Méthodes statistiques.
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|a Finance
|x Mathematical models.
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|a Finance
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|a Finance.
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|a Finances
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|a Finances
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|a Insurance
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|a Insurance
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|a Economics.
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|a Finances
|x Modèles mathématiques.
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|a Finances.
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|a Économie politique.
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|a Statistiques.
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|a finance.
|2 aat
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|a economics.
|2 aat
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|a Statistics.
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|a Shapiro, Arnold,
|e author.
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|a Safari, an O'Reilly Media Company.
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|u https://learning.oreilly.com/library/view/~/9780203911242/?ar
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