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Monte Carlo Methods and Models in Finance and Insurance

Monte Carlo Methods and Models in Finance and Insurance

Inhalt

Offering a unique balance between applications and calculations, this book incorporates the application background of finance and insurance with the theory and applications of Monte Carlo methods. It presents recent methods and algorithms, including the multilevel Monte Carlo method, the statistical Romberg method, and the Heath¿Platen estimator

Bibliografische Angaben

Januar 2023, 484 Seiten, Chapman and Hall/CRC Financial Mathematics Series, Englisch
Taylor and Francis
978-1-03-247769-5

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Weitere Titel der Reihe: Chapman and Hall/CRC Financial Mathematics Series

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