%0 Book
%T Statistical tools for finance and insurance
%A Čížek, Pavel
%7 2. ed.
%I Springer
%@ 9783642180613
%@ 3642180612
%K Finance Statistical methods
%K Insurance Statistical methods
%K Catastrophe Bonds
%K Compound Risk Model
%K Extreme Value Theory
%K Fuzzy Identification Model
%K Loss Distributions
%K Option Pricing
%K Paperback / softback
%K Research
%K Ruin Probability
%K Stable Distributions
%K Tail Dependence
%K VOLA Surfaces
%K Finanzmathematik
%K Versicherungsmathematik
%D 2011
%X Literaturangaben
%C Springer
%C Berlin
%U http://slubdd.de/katalog?TN_libero_mab2
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