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TitleAuthor(s)Issue Date
m-Out-of-n Bootstrap
Book:Wiley StatsRef: Statistics Reference Online
2017
 
1-Dec-2009
 
Optimal asset allocation under GARCH model
Book:Statistics and Finance An Interface
2001
 
Optimal threshold dividend strategies under the compound poisson model with regime switching
Book:Stochastic analysis with financial applications: Hong Kong 2009
2011
 
Overview of adaptive randomization
Book:Modern Approaches to Clinical Trials Using SAS: Classical, Adaptive, and Bayesian Methods
2015
 
A PDE Approach To Multivariate Risk Theory
Book:Stochastic Analysis and Applications to Finance: Essays in Honour of Jia-An Yan
2012
 
Percentile Charts on Correlated Measures
Book:Encyclopedia of Biopharmaceutical Statistics
2004
 
Risk Measures and Dependence Modeling
Book:Handbook of Insurance
14-Jun-2023
Risk measures and dependence modeling
Book:Handbook of Insurance (Second edition)
2013
 
Risk Measures and Dependence Modeling
Book:Handbook of Insurance
1-Jan-2013
 
Robust stabilization of nonlinear systems with markovian jumping parameters
Book:Control of Distributed Parameter and Stochastic Systems
1998
 
Ruin Probability for a Model Under Markovian Switching Regime
Book:Probability, Finance and Insurance: Proceedings of a Workshop at the University of Hong Kong, Hong Kong 15-17 July 2002
2003
 
Sample Size Re-Estimation in Adaptively Randomized Clinical Trials with Missing Data
Book:Modern Adaptive Randomized Clinical Trials: Statistical and Practical Aspects
2015
 
Some Recent Developments in Actuarial Science
Book:Asymptotic Theory in Probability and Statistics with Applications
2008
 
2004
 
1997
 
Time Series: Advanced methods
Book:International Encyclopedia of the Social & Behavioral Sciences
2002