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Metodi statistici per la finanza e le assicurazioni
Presentazione
Risk aversion and coherent risk measures: a spectral representation theorem
Simulating Value at Risk: filtering historical simulation
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Economic ideas of Bruno de Finetti in the Wierner Process Model
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Metodi statistici per la finanza e le assicurazioni
Title: Metodi statistici per la finanza e le assicurazioni.
Statement of responsibility: a cura di Benito Vittorio Frosini
Place of publication: Milano
Publisher: Vita e pensiero università
Year of publication: 2003
Format: 138 p. : ill. ; 22 cm.
Note: Papers presented to the meeting, Milan, 2002, 2 already publ. - Contains bibliographies and notes. - Also cont. 1 text in Italian.
Dewey classification 519
LC QA
ISBN: 88-343-1005-5
ISBN-13: 9788834310052
Card no.: 03650960
Price of work in hard copy: EUR 12,00
Permalink: http://digital.casalini.it/8834310055
The electronic edition of this work is only available divided into chapters/sections



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