Risk Measures and Insurance Solvency Benchmarks

Fixed-Probability Levels in Renewal Risk Models

This book is written for academics and practitioners who are concerned about potential weaknesses of the Solvency II regulatory system. It is also intended for readers who are interested in pure and applied probability and have a taste for classical and asymptotic analysis.

Juli 2023, ca. 340 Seiten, Chapman and Hall/CRC Financial Mathematics Series, Englisch
Taylor and Francis
978-0-367-74402-1

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