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Statistics for econometrics, finance and insurance

    Statistics for econometrics, finance and insurance (View all titles)

    There are 62 titles in the View all titles category

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    Expert Adjustments of Model Forecasts

    Theory, Practice and Strategies for Improvement
    • Philip Hans Franses
    • Paperback (ISBN-13: 9781107441613)
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    • Publication date: c.November 2014
    • Subject: Econometrics statistics and mathematical economics
    • Not yet published - available from November 2014

    Granularity Theory with Applications to Finance and Insurance

    • Patrick Gagliardini, Christian Gouriéroux
    • Paperback (ISBN-13: 9781107662889)
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    • Publication date: c.September 2014
    • Subject: Econometrics statistics and mathematical economics
    • Not yet published - available from August 2014
    • $34.99 (G)

    Portfolio Theory and Risk Management

    • Maciej J. Capiński, Ekkehard Kopp
    • Paperback (ISBN-13: 9780521177146)
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    • Publication date: c.October 2014
    • Subject: Statistics for econometrics finance and insurance
    • Not yet published - available from September 2014
    • $39.99 (Z)

    Analysis of Panel Data

    • 3rd Edition
    • Cheng Hsiao
    • Paperback (ISBN-13: 9781107657632)
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    • Publication date: c.August 2014
    • Subject: Econometrics statistics and mathematical economics
    • Not yet published - available from July 2014
    • $45.99 (Z)

    Predictive Modeling Applications in Actuarial Science

    • Volume: 1
    • Edward W. Frees, Richard A. Derrig, Glenn Meyers
    • Hardback (ISBN-13: 9781107029873)
    • Publication date: c.July 2014
    • Subject: Statistics for econometrics finance and insurance
    • Not yet published - available from June 2014
    • $85.00 (Z)

    Time Series Models for Business and Economic Forecasting

    • 2nd Edition
    • Philip Hans Franses, Dick van Dijk, Anne Opschoor
    • Paperback (ISBN-13: 9780521520911)
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    • Publication date: c.July 2014
    • Subject: Econometrics statistics and mathematical economics
    • Not yet published - available from June 2014
    • $48.00 (Z)

    Computation and Modelling in Insurance and Finance

    • Erik Bølviken
    • Hardback (ISBN-13: 9780521830485)
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    • Publication date: c.May 2014
    • Subject: Statistics for econometrics finance and insurance
    • Not yet published - available from April 2014
    • $120.00 (Z)

    Probability for Finance

    • Ekkehard Kopp, Jan Malczak, Tomasz Zastawniak
    • Paperback (ISBN-13: 9780521175579)
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    • Publication date: December 2013
    • Subject: Statistics for econometrics finance and insurance
    • In stock
    • $39.99 (Z)

    Actuarial Mathematics for Life Contingent Risks

    • 2nd Edition
    • David C. M. Dickson, Mary R. Hardy, Howard R. Waters
    • Hardback (ISBN-13: 9781107044074)
    • Publication date: August 2013
    • Subject: Statistics for econometrics finance and insurance
    • Temporarily unavailable - no date available
    • $89.00 (Z)

    Popular Instructions on the Calculation of Probabilities

    To Which Are Appended Notes by Richard Beamish
    • Lambert Adolphe Jacques Quetelet, Richard Beamish
    • Paperback (ISBN-13: 9781108064439)
    • Publication date: c.October 2013
    • Subject: Historical mathematical texts
    • Not yet published - available from October 2013
    • $25.99 (Z)

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