Risk Analysis and Prediction in Finance and Insurance | Risk Assessment and Management Improvements

Vojo Bubevski

ISBN 10: 6203027456 ISBN 13: 9786203027457
Published by LAP LAMBERT Academic Publishing, 2020
New Taschenbuch

From preigu, Osnabrück, Germany Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

AbeBooks Seller since 5 August 2024

This specific item is no longer available.

About this Item

Description:

Risk Analysis and Prediction in Finance and Insurance | Risk Assessment and Management Improvements | Vojo Bubevski | Taschenbuch | Englisch | 2020 | LAP LAMBERT Academic Publishing | EAN 9786203027457 | Verantwortliche Person für die EU: preigu GmbH & Co. KG, Lengericher Landstr. 19, 49078 Osnabrück, mail[at]preigu[dot]de | Anbieter: preigu. Seller Inventory # 119306231

Report this item

Synopsis:

This practical book presents the Risk Analysis and Prediction in Finance and Insurance for experienced risk managers, risk analysts, financial risk managers, and the relating subject’s degree students. The book presents models for Risk Analysis and Prediction using simulation, optimisation, and Neural Networks to control risks and improve Risk Assessment & Management. The chapters present: Optimal portfolio selection in Investment Management to control Market Risk; Controlling Credit Risk for optimal loan portfolio selection in Banking; Controlling Market Risk for optimal portfolio selection with Correlated Assets; Analysis of different aspects of Credit Risk for loan approvals in Banking; Analysis of Insurance Risk with Reinsurance option; Analysis of Insurance Risk in claim payments; Predicting the loan applicants’ timely payments in Banking; Predicting the Stock Market Up or Down direction. The applied Sensitivity Analysis provides for essential improvements. Bernstein stated, “the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking” (Bernstein and Damodaran 1998). The method presented is one such tool.

"About this title" may belong to another edition of this title.

Bibliographic Details

Title: Risk Analysis and Prediction in Finance and ...
Publisher: LAP LAMBERT Academic Publishing
Publication Date: 2020
Binding: Taschenbuch
Condition: Neu

Top Search Results from the AbeBooks Marketplace

Seller Image

Vojo Bubevski
Published by LAP LAMBERT Academic Publishing, 2020
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Softcover
Print on Demand

Seller: moluna, Greven, Germany

Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Autor/Autorin: Bubevski VojoThe author has a Computer Science degree from the University of Zagreb and backgrounds in Information Systems Analysis & Design, Mathematics, Operations Research, Modelling & Simulation, and Risk & Decision Analysis. Pub. Seller Inventory # 413749665

Contact seller

Buy New

£ 48.30
£ 42.24 shipping
Ships from Germany to U.S.A.

Quantity: Over 20 available

Add to basket

Seller Image

Vojo Bubevski
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Taschenbuch
Print on Demand

Seller: buchversandmimpf2000, Emtmannsberg, BAYE, Germany

Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

Taschenbuch. Condition: Neu. This item is printed on demand - Print on Demand Titel. Neuware -This practical book presents the Risk Analysis and Prediction in Finance and Insurance for experienced risk managers, risk analysts, financial risk managers, and the relating subject's degree students. The book presents models for Risk Analysis and Prediction using simulation, optimisation, and Neural Networks to control risks and improve Risk Assessment & Management. The chapters present: Optimal portfolio selection in Investment Management to control Market Risk; Controlling Credit Risk for optimal loan portfolio selection in Banking; Controlling Market Risk for optimal portfolio selection with Correlated Assets; Analysis of different aspects of Credit Risk for loan approvals in Banking; Analysis of Insurance Risk with Reinsurance option; Analysis of Insurance Risk in claim payments; Predicting the loan applicants' timely payments in Banking; Predicting the Stock Market Up or Down direction. The applied Sensitivity Analysis provides for essential improvements. Bernstein stated, 'the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking' (Bernstein and Damodaran 1998). The method presented is one such tool.VDM Verlag, Dudweiler Landstraße 99, 66123 Saarbrücken 284 pp. Englisch. Seller Inventory # 9786203027457

Contact seller

Buy New

£ 59.41
£ 51.73 shipping
Ships from Germany to U.S.A.

Quantity: 1 available

Add to basket

Seller Image

Vojo Bubevski
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Taschenbuch
Print on Demand

Seller: BuchWeltWeit Ludwig Meier e.K., Bergisch Gladbach, Germany

Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

Taschenbuch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -This practical book presents the Risk Analysis and Prediction in Finance and Insurance for experienced risk managers, risk analysts, financial risk managers, and the relating subject's degree students. The book presents models for Risk Analysis and Prediction using simulation, optimisation, and Neural Networks to control risks and improve Risk Assessment & Management. The chapters present: Optimal portfolio selection in Investment Management to control Market Risk; Controlling Credit Risk for optimal loan portfolio selection in Banking; Controlling Market Risk for optimal portfolio selection with Correlated Assets; Analysis of different aspects of Credit Risk for loan approvals in Banking; Analysis of Insurance Risk with Reinsurance option; Analysis of Insurance Risk in claim payments; Predicting the loan applicants' timely payments in Banking; Predicting the Stock Market Up or Down direction. The applied Sensitivity Analysis provides for essential improvements. Bernstein stated, 'the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking' (Bernstein and Damodaran 1998). The method presented is one such tool. 284 pp. Englisch. Seller Inventory # 9786203027457

Contact seller

Buy New

£ 59.41
£ 19.83 shipping
Ships from Germany to U.S.A.

Quantity: 2 available

Add to basket

Seller Image

Vojo Bubevski
Published by LAP LAMBERT Academic Publishing, 2020
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Taschenbuch
Print on Demand

Seller: AHA-BUCH GmbH, Einbeck, Germany

Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

Taschenbuch. Condition: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - This practical book presents the Risk Analysis and Prediction in Finance and Insurance for experienced risk managers, risk analysts, financial risk managers, and the relating subject's degree students. The book presents models for Risk Analysis and Prediction using simulation, optimisation, and Neural Networks to control risks and improve Risk Assessment & Management. The chapters present: Optimal portfolio selection in Investment Management to control Market Risk; Controlling Credit Risk for optimal loan portfolio selection in Banking; Controlling Market Risk for optimal portfolio selection with Correlated Assets; Analysis of different aspects of Credit Risk for loan approvals in Banking; Analysis of Insurance Risk with Reinsurance option; Analysis of Insurance Risk in claim payments; Predicting the loan applicants' timely payments in Banking; Predicting the Stock Market Up or Down direction. The applied Sensitivity Analysis provides for essential improvements. Bernstein stated, 'the risk will always be there, so we must explore many interesting tools that can help us to control risks we cannot avoid taking' (Bernstein and Damodaran 1998). The method presented is one such tool. Seller Inventory # 9786203027457

Contact seller

Buy New

£ 60.12
£ 53.64 shipping
Ships from Germany to U.S.A.

Quantity: 1 available

Add to basket

Stock Image

Bubevski, Vojo
Published by LAP LAMBERT Academic Publishing, 2020
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Softcover

Seller: Books Puddle, New York, NY, U.S.A.

Seller rating 4 out of 5 stars 4-star rating, Learn more about seller ratings

Condition: New. Seller Inventory # 26395829811

Contact seller

Buy New

£ 91.65
£ 2.96 shipping
Ships within U.S.A.

Quantity: 4 available

Add to basket

Stock Image

Bubevski, Vojo
Published by LAP LAMBERT Academic Publishing, 2020
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Softcover
Print on Demand

Seller: Majestic Books, Hounslow, United Kingdom

Seller rating 4 out of 5 stars 4-star rating, Learn more about seller ratings

Condition: New. Print on Demand. Seller Inventory # 400580076

Contact seller

Buy New

£ 92.03
£ 6.50 shipping
Ships from United Kingdom to U.S.A.

Quantity: 4 available

Add to basket

Stock Image

Bubevski, Vojo
Published by LAP LAMBERT Academic Publishing, 2020
ISBN 10: 6203027456 ISBN 13: 9786203027457
New Softcover
Print on Demand

Seller: Biblios, Frankfurt am main, HESSE, Germany

Seller rating 4 out of 5 stars 4-star rating, Learn more about seller ratings

Condition: New. PRINT ON DEMAND. Seller Inventory # 18395829817

Contact seller

Buy New

£ 96.27
£ 8.58 shipping
Ships from Germany to U.S.A.

Quantity: 4 available

Add to basket