@book {TN_libero_mab2,
author = { Čížek, Pavel },
title = { Statistical tools for finance and insurance },
edition = { 2. ed. } ,
publisher = {Springer},
isbn = {9783642180613},
isbn = {3642180612},
keywords = { Finance Statistical methods , Insurance Statistical methods , Catastrophe Bonds , Compound Risk Model , Extreme Value Theory , Fuzzy Identification Model , Loss Distributions , Option Pricing , Paperback / softback , Research , Ruin Probability , Stable Distributions , Tail Dependence , VOLA Surfaces , Finanzmathematik , Versicherungsmathematik },
year = {2011},
abstract = {Literaturangaben},
address = { Berlin },
url = { http://slubdd.de/katalog?TN_libero_mab2 }
}
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