Statistical inference in financial and insurance mathematics with R /
Finance and insurance companies are facing a wide range of parametric statistical problems. Statistical experiments generated by a sample of independent and identically distributed random variables are frequent and well understood, especially those consisting of probability measures of an exponentia...
| Cote: | Libro Electrónico |
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| Auteur principal: | |
| Format: | Électronique eBook |
| Langue: | Inglés |
| Publié: |
London : Oxford :
ISTE Press ; Elsevier,
[2018]
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| Collection: | Optimization in insurance and finance set.
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| Sujets: | |
| Accès en ligne: | Texto completo |


