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Statistics for econometrics, finance and insurance (Bestsellers)

The top 10 bestselling titles in Statistics for econometrics, finance and insurance

Generalized Linear Models for Insurance Data

Generalized Linear Models for Insurance Data

  • Piet de Jong, Gillian Z. Heller
  • Hardback (ISBN-13: 9780521879149)
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  • Publication date: March 2008
Series: International Series on Actuarial Science
  • In stock
  • $82.00 (Z)
Regression Modeling with Actuarial and Financial Applications

Regression Modeling with Actuarial and Financial Applications

  • Edward W. Frees
  • Paperback (ISBN-13: 9780521135962)
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  • Publication date: November 2009
Series: International Series on Actuarial Science
  • In stock
  • $64.00 (X)
Numerical Methods in Finance with C++

Numerical Methods in Finance with C++

  • Maciej J. Capiński, Tomasz Zastawniak
  • Paperback (ISBN-13: 9780521177160)
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  • Publication date: September 2012
Series: Mastering Mathematical Finance
  • In stock
  • $39.99 (Z)
Actuarial Mathematics for Life Contingent Risks

Actuarial Mathematics for Life Contingent Risks

  • David C. M. Dickson, Mary R. Hardy, Howard R. Waters
  • Hardback (ISBN-13: 9780521118255)
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  • Publication date: October 2009
Series: International Series on Actuarial Science
  • In stock
  • $80.00 (Z)
Solutions Manual for Actuarial Mathematics for Life Contingent Risks

Solutions Manual for Actuarial Mathematics for Life Contingent Risks

  • David C. M. Dickson, Mary R. Hardy, Howard R. Waters
  • Paperback (ISBN-13: 9781107608443)
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  • Publication date: March 2012
Series: International Series on Actuarial Science
  • In stock
  • $32.99 (Z)
Stochastic Calculus for Finance

Stochastic Calculus for Finance

  • Marek Capiński, Ekkehard Kopp, Janusz Traple
  • Paperback (ISBN-13: 9780521175739)
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  • Publication date: October 2012
Series: Mastering Mathematical Finance
  • In stock
  • $39.99 (Z)
Nonlife Actuarial Models

Nonlife Actuarial Models

Theory, Methods and Evaluation
  • Yiu-Kuen Tse
  • Hardback (ISBN-13: 9780521764650)
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  • Publication date: October 2009
Series: International Series on Actuarial Science
  • In stock
  • $80.00 (Z)
Discrete Models of Financial Markets

Discrete Models of Financial Markets

  • Marek Capiński, Ekkehard Kopp
  • Paperback (ISBN-13: 9780521175722)
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  • Publication date: March 2012
Series: Mastering Mathematical Finance
  • In stock
  • $39.99 (Z)
The Black–Scholes Model

The Black–Scholes Model

  • Marek Capiński, Ekkehard Kopp
  • Paperback (ISBN-13: 9780521173001)
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  • Publication date: November 2012
Series: Mastering Mathematical Finance
  • In stock
  • $39.99 (Z)
Introductory Statistics with Applications in General Insurance

Introductory Statistics with Applications in General Insurance

  • 2nd Edition
  • I. B. Hossack, J. H. Pollard, B. Zehnwirth
  • Paperback (ISBN-13: 9780521655347)
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  • Publication date: May 1999
  • Manufactured on demand: supplied direct from the printer
  • $68.00 (Z)

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