
Data Science and Risk Analytics in Finance and Insurance
Financial Models and Statistical Methods
CRC Press
ISBN 978-1-4398-3948-5
Standardpreis
Bibliografische Daten
Buch. Hardcover
2024
36 s/w-Abbildungen, 36 s/w-Zeichnungen, 19 s/w-Tabelle.
In englischer Sprache
Umfang: 350 S.
Format (B x L): 15,6 x 23,4 cm
Gewicht: 453
Verlag: CRC Press
ISBN: 978-1-4398-3948-5
Weiterführende bibliografische Daten
Das Werk ist Teil der Reihe: Chapman and Hall/CRC Financial Mathematics Series
Produktbeschreibung
Key Features:
- Provides a comprehensive and in-depth overview of data science methods for financial and insurance risks.
- Unravels bandits, Markov decision processes, reinforcement learning, and their interconnections.
- Promotes sequential surveillance and predictive analytics for abrupt changes in risk factors.
- Introduces the ABCDs of FinTech: Artificial intelligence, blockchain, cloud computing, and big data analytics.
- Includes supplements and exercises to facilitate deeper comprehension.
Autorinnen und Autoren
Produktsicherheit
Hersteller
Libri GmbH
Europaallee 1
36244 Bad Hersfeld, DE
gpsr@libri.de