
Risk Analysis in Finance and Insurance
$123.28
- Paperback
362 pages
- Release Date
3 September 2025
Summary
Mastering Risk: A Quantitative Approach to Finance and Insurance
Risk Analysis in Finance and Insurance, Third Edition delivers an accessible yet comprehensive introduction to the core concepts and methods transforming risk management into a quantitative science. Acknowledging the interdisciplinary nature of risk analysis, the author simplifies and explores crucial ideas from stochastic analysis, mathematical finance, and actuarial science. Discover the interconnectedness of these f…
Book Details
ISBN-13: | 9781032391984 |
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ISBN-10: | 1032391987 |
Series: | Chapman and Hall/CRC Financial Mathematics Series |
Author: | Alexander Melnikov |
Publisher: | Taylor & Francis Ltd |
Imprint: | Chapman & Hall/CRC |
Format: | Paperback |
Number of Pages: | 362 |
Edition: | 3rd |
Release Date: | 3 September 2025 |
Weight: | 690g |
Dimensions: | 234mm x 156mm |
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About The Author
Alexander Melnikov
Alexander Melnikov is a Professor at the University of Alberta working in stochastic analysis and its applications in finance, statistics and insurance. He is the author of nine books and over one hundred research papers in leading academic journals and venues. He is a Fellow of the Russian Academy of Natural Sciences, a recipient of the Leontiev medal of this academy and the McCalla Professorship of the University of Alberta. In addition to his academic engagements, he held several senior positions in business and professional organizations.
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