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Autor(en): 
  • Arjun K. Gupta
  • Yanhong Wu
  • Wei-Bin Zeng
  • Probability and Statistical Models: Foundations for Problems in Reliability and Financial Mathematics 
     

    (Buch)
    Dieser Artikel gilt, aufgrund seiner Grösse, beim Versand als 3 Artikel!


    Übersicht

    Auf mobile öffnen
     
    Lieferstatus:   Auf Bestellung (Lieferzeit unbekannt)
    Veröffentlichung:  September 2010  
    Genre:  Schulbücher 
     
    Angewandte Mathematik / Applications of Mathematics / Applied mathematics / B / Economics, finance, business & management / Economics, Mathematical / Engineering mathematics / Finance & accounting
    ISBN:  9780817649869 
    EAN-Code: 
    9780817649869 
    Verlag:  Springer Basel 
    Einband:  Gebunden  
    Sprache:  English  
    Dimensionen:  H 235 mm / B 155 mm / D  
    Gewicht:  1260 gr 
    Seiten:  267 
    Illustration:  XII, 267 p. 
    Zus. Info:  EUDR exemption - product or manufacturing materials placed on the market prior to 31.12.2025. 
    Bewertung: Titel bewerten / Meinung schreiben
    Inhalt:
    With an emphasis on models and techniques, this textbook introduces many of the fundamental concepts of stochastic modeling that are now a vital component of almost every scientific investigation. These models form the basis of well-known parametric lifetime distributions such as exponential, Weibull, and gamma distributions, as well as change-point and mixture models. The authors also consider more general notions of non-parametric lifetime distribution classes. In particular, emphasis is placed on laying the foundation for solving problems in reliability, insurance, finance, and credit risk. Exercises and solutions to selected problems accompany each chapter in order to allow students to explore these foundations.

    The key subjects covered include:

    * Exponential distributions and the Poisson process

    * Parametric lifetime distributions

    * Non-parametric lifetime distribution classes

    * Multivariate exponential extensions

    * Association and dependence

    * Renewal theory

    * Problems in reliability, insurance, finance, and credit risk

    This work differs from traditional probability textbooks in a number of ways. Since no measure theory knowledge is necessary to understand the material and coverage of the central limit theorem and normal theory related topics has been omitted, the work may be used as a single-semester senior undergraduate or first-year graduate textbook as well as in a second course on probability modeling. Many of the chapters that examine central topics in applied probability can be read independently, allowing both instructors and readers extra flexibility in their use of the book.

    Probability and Statistical Models is for a wide audience including advanced undergraduate and beginning-level graduate students, researchers, and practitioners in mathematics, statistics, engineering, and economics.

      



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