此书讲的是数学和统计在经济金融上面的应用。但是不是教科书,是maf大会上面一些论文。涵盖了Mathematical Models for Insurance: Insurance Portfolio Risk Analysis, Solvency, Longevity Risk, Actuarial models, Management in Insurance Business, Stochastic models in Insurance. 需要发论文的,可以学习一下,也许能有所启发。
The book develops the capabilities arising from the cooperation between mathematicians and statisticians working in insurance and finance fields. It gathers some of the papers presented at the conference MAF2010, held in Ravello (Amalfi coast), and successively, after a reviewing process, worked out to this aim.