Risk Analysis in Finance and Insurance, 9781032395111
Hardcover
Quantify risk in finance and insurance: A comprehensive, interdisciplinary approach.
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Risk Analysis in Finance and Insurance

$288.35

  • Hardcover

    362 pages

  • Release Date

    4 September 2025

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Summary

Mastering Risk: A Quantitative Approach to Finance and Insurance

Risk Analysis in Finance and Insurance, Third Edition presents an accessible yet comprehensive introduction to the main concepts and methods that transform risk management into a quantitative science. Considering the interdisciplinary nature of risk analysis, the author discusses many important ideas from stochastic analysis, mathematical finance and actuarial science in a simplified manner. He explores the in…

Book Details

ISBN-13:9781032395111
ISBN-10:1032395117
Series:Chapman and Hall/CRC Financial Mathematics Series
Author:Alexander Melnikov
Publisher:Taylor & Francis Ltd
Imprint:Chapman & Hall/CRC
Format:Hardcover
Number of Pages:362
Edition:3rd
Release Date:4 September 2025
Weight:453g
Dimensions:234mm x 156mm
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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