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Financial Risk and Derivatives

Financial Risk and Derivatives A Special Issue of the Geneva Papers on Risk and Insurance Theory

Reprinted from GENEVA PAPERS ON RISK AND INSURANCE THEORY, 21:1, 1996th edition

Paperback (30 Sep 1996)

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Publisher's Synopsis

Financial Risk and Derivatives provides an excellent illustration of the links that have developed in recent years between the theory of finance on one hand and insurance economics and actuarial science on the other. Advances in contingent claims analysis and developments in the academic and practical literature dealing with the management of financial risks reflect the close relationships between insurance and innovations in finance.
The book represents an overview of the present state of the art in theoretical research dealing with financial issues of significance for insurance science. It will hopefully provide an impetus to further developments in applied insurance research.

Book information

ISBN: 9780792398011
Publisher: Springer Netherlands
Imprint: Springer
Pub date:
Edition: Reprinted from GENEVA PAPERS ON RISK AND INSURANCE THEORY, 21:1, 1996th edition
Language: English
Number of pages: 137
Weight: 850g
Height: 234mm
Width: 156mm
Spine width: 9mm