@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
}
}