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Risk Analysis: Modeling, Assessment and Management of Risks with Practical Examples

Risk Analysis: Modeling, Assessment and Management of Risks with Practical Examples

Paperback

Series: Mathematics Study Resources, Book 30

EconomicsInvesting & FinanceGeneral Mathematics

PREORDER - Expected ship date October 28, 2026

ISBN10: 3658520647
ISBN13: 9783658520649
Publisher: Springer
Published: Oct 28 2026
Pages: 447
Language: English

This textbook presents mathematical methods of risk modeling and analysis in an application-oriented manner. Financial and actuarial aspects are treated jointly, for example with regard to simulation methods, risk measures, and risk aggregation. The book thus provides a solid foundation for quantitatively oriented risk management across a wide range of fields and fosters an understanding of interrelationships that are often not addressed in discipline-specific literature. Numerous examples repeatedly establish a concrete link to practice.

Also from

Cottin, Claudia

Also in

General Mathematics