Risk Measures and Insurance Solvency Benchmarks by Vsevolod K Malinovskii

Risk Measures and Insurance Solvency Benchmarks by Vsevolod K Malinovskii

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Risk Measures and Insurance Solvency Benchmarks by Vsevolod K Malinovskii

This book is written for academics and practitioners who are concerned about potential weaknesses of the Solvency II regulatory system. It is also intended for readers who are interested in pure and applied probability and have a taste for classical and asymptotic analysis.

Vsevolod K. Malinovskii graduated from the Moscow State University, earned his Ph.D. in Mathematics from the Steklov Mathematical Institute in 1983, and his D.Sc. in Mathematics from the Central conomics and Mathematics Institute (CEMI) of the Russian Academy of Science in 2000. He joined Probability Theory's Department of Steklov Mathematical Institute in 1982 and worked there until 2006. Since 2009, he has been a Chief research fellow at the CEMI.
He was Visiting Professor at the University of Copenhagen in 1993 and in 1998, and at the University of Montreal in 2001. He has authored Insurance Planning Models: Price Competition and Regulation of Financial Stability and Level-Crossing Problems and Inverse Gaussian Distributions: Closed-Form Results and Approximations. Professor Malinovskii's main research interests are in Applied Probability and in Mathematical Statistics.

SKU Unavailable
ISBN 13 9780367744021
ISBN 10 0367744023
Title Risk Measures and Insurance Solvency Benchmarks
Author Vsevolod K Malinovskii
Series Chapman And Hall Crc Financial Mathematics Series
Condition Unavailable
Binding Type Paperback
Publisher Taylor & Francis Ltd
Year published 2023-07-24
Number of pages 340
Cover note Book picture is for illustrative purposes only, actual binding, cover or edition may vary.