
Modelling extermal events
For insurance and finance
Paul Embrechts, Claudia Klüppelberg, Thomas Mikosch
Résumé
Both in insurance and in finance applications, questions involving extremal events (such as large insurance claims, large fluctuations in financial data, stock market shocks, risk management, ...) play an increasingly important role. This book sets out to bridge the gap between the existing theory and practical applications both from a probabilistic as well as from a statistical point of view. Whatever new theory is presented is always motivated by relevant real-life examples. The numerous illustrations and examples, and the extensive bibliography make this book an ideal reference text for students, teachers and users in the industry of extremal event methodology.
L'auteur - Paul Embrechts
Paul Embrechts, Professor of Insurance Mathematics at the Swiss Federal Institute of Technology (ETH) in Zurich, is the coauthor of Modelling Extremal Events for Insurance and Finance.
Sommaire
- Risk Theory
- Fluctuations of Sums
- Fluctuations of Maxima
- Fluctuations of Upper Order Statistics
- An Approach to Extremes via Point Processes
- Statistical Methods for Extremal Events
- Time Series Analysis for Heavy{Tailed Processes
- Special Topics
Caractéristiques techniques
PAPIER | |
Éditeur(s) | Springer |
Auteur(s) | Paul Embrechts, Claudia Klüppelberg, Thomas Mikosch |
Parution | 22/10/2001 |
Nb. de pages | 650 |
Format | 16 x 24 |
Couverture | Broché |
Poids | 1089g |
Intérieur | Noir et Blanc |
EAN13 | 9783540609315 |
ISBN13 | 978-3-540-60931-5 |
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