Introductory statistics with applications in general insurance

Introductory statistics with applications in general insurance
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发表时间:
1983
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通讯作者:
I. Hossack;J. Pollard;B. Zehnwirth
I. Hossack;J. Pollard;B. Zehnwirth
中科院分区:
其他
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作者:
I. Hossack;J. Pollard;B. Zehnwirth

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这是一个非常成功的介绍一般保险从业人员的统计方法的新版本。没有事先统计知识是假设,所需的数学水平大约相当于学校数学。虽然这本书主要是介绍性的,作者讨论了一些更高级的主题,包括模拟,计算风险保费,可信度理论,估计未偿索赔准备金和风险理论。所有的主题都说明了从一般保险的例子,并为进一步的阅读的参考。大多数练习的解决方案都包括在内。对于新版本的机会已经采取了小的改进和更正整个案文,重写一些部分,以提高清晰度,并更新的例子和参考。还增加了一个关于估计的新章节。
This is a new edition of a very successful introduction to statistical methods for general insurance practitioners. No prior statistical knowledge is assumed, and the mathematical level required is approximately equivalent to school mathematics. Whilst the book is primarily introductory, the authors discuss some more advanced topics, including simulation, calculation of risk premiums, credibility theory, estimation of outstanding claim provisions and risk theory. All topics are illustrated by examples drawn from general insurance, and references for further reading are given. Solutions to most of the exercises are included. For the new edition the opportunity has been taken to make minor improvements and corrections throughout the text, to rewrite some sections to improve clarity, and to update the examples and references. A new section dealing with estimation has also been added.