खोज परिणाम - "annuity"
प्रस्तावित विषय : खोज निहित
प्रस्तावित विषय : खोज निहित
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Actuarial Mathematics and Risk Management
प्रकाशित 2023विषय: “…life annuities…”
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DOAB: description of the publication
इलेक्ट्रोनिक पुस्तक अध्याय -
4
Quantitative Risk Assessment in Life, Health and Pension Insurance
प्रकाशित 2022विषय: “…annuity…”
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DOAB: description of the publication
इलेक्ट्रोनिक पुस्तक अध्याय -
5
Ageing Population Risks
प्रकाशित 2018विषय: “…variable annuities…”
DOAB: download the publication
DOAB: description of the publication
इलेक्ट्रोनिक पुस्तक अध्याय -
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Business Math A Step-by-Step Handbook
प्रकाशित 2021विषय - सूची: “…PART 1: Mathematic Fundamentals for Business -- Chapter 1: How To Use This Textbook -- Chapter 2: Back to the Basics -- Chapter 3: General Business Management Applications -- PART 2: Applications in Human Resources, Economics, Marketing, and Accounting -- Chapter 4: Human Resource & Economic Applications -- Chapter 5: Marketing and Accounting Fundamentals -- Chapter 6: Marketing Applications -- Chapter 7: Accounting Applications -- PART 3: Applications in Finance, Banking, and Investing: Working With Single Payments -- Chapter 8: Simple Interest: Working With Single Payment & Applications -- Chapter 9: Compound Interest: Working With Single Payments -- Chapter 10: Compound Interest: Applications Involving Single Payments -- PART 4: Applications in FInance, Banking, and Investing: Working With A Continuous Series of Payments (Annuities) -- Chapter 11: Compound Interest: Annuities -- Chapter 12: Compound Interest: Special Applications of Annuities -- PART 5: Applications in Finance, Banking, and Investing: Amortization and Special Concepts -- Chapter 13: Understanding Amortization & Its Applications -- Chapter 14: Bonds and Sinking Funds -- Chapter 15: Making Good Decisions…”
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इलेक्ट्रोनिक ई-पुस्तक -
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Introduction to Financial Analysis
प्रकाशित 2022विषय - सूची: “…About the Author -- Author's Acknowledgements -- Open Touro Acknowledgements -- Preface -- Part I: Financial Statements and Ratio Analysis, and Forecasting -- Chapter 1: Introduction -- Chapter 2: Financial Statement Analysis: The Balance Sheet -- Chapter 3: Financial Statements Analysis: The Income Statement -- Chapter 4: Financial Statements and Finance -- Part II: Ratio Analysis and Forecasting Modeling -- Chapter 5: Financial Ratios and Forecasting; Liquidity and Solvency Ratios -- Chapter 6: Profitability and Return Ratios, and Turnover -- Chapter 7: Market Ratios -- Chapter 8: Cash Flow, Depreciation, and Financial Projections -- Chapter 9: Corporate Forecasting Models -- Part III: The Time Value of Money -- Chapter 10: The Time Value of Money: Simple Present- and Future-Values -- Chapter 11: The Time Value of Money: Annuities, Perpetuities, and Mortgages -- Part IV: Interest Rates, Valuation, and Return -- Chapter 12: Fixed Income Valuation -- Chapter 13: Interest Rates -- Chapter 14: Equity Valuation and Return Measurement…”
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इलेक्ट्रोनिक ई-पुस्तक -
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Innovations in Quantitative Risk Management TU München, September 2013 /
प्रकाशित 2015विषय - सूची: “…Part I Markets, Regulation, and Model Risk -- A Random Holding Period Approach for Liquidity-Inclusive Risk Management -- Regulatory Developments in Risk Management: Restoring Confidence in Internal Models -- Model Risk in Incomplete Markets with Jumps -- Part II Financial Engineering -- Bid-Ask Spread for Exotic Options Under Conic Finance -- Derivative Pricing Under the Possibility of Long Memory in the supOU Stochastic Volatility Model -- A Two-Sided BNS Model for Multicurrency FX Markets -- Modeling the Price of Natural Gas with Temperature and Oil Price as Exogenous Factors -- Copula-Specific Credit Portfolio Modeling -- Implied Recovery Rates-Auctions and Models -- Upside and Downside Risk Exposures of Currency Carry Trades via Tail Dependence -- Part III Insurance Risk and Asset Management -- Participating Life Insurance Contracts Under Risk Based Solvency Frameworks: How to Increase Capital Efficiency by Product Design -- Reducing Surrender Incentives Through Fee Structure in Variable Annuities -- A Variational Approach for Mean-Variance-Optimal Deterministic Consumption and Investment -- Risk Control in Asset Management: Motives and Concepts -- Worst-Case Scenario Portfolio Optimization Given the Probability of a Crash -- Improving Optimal Terminal Value Replicating Portfolios -- Part IV Computational Methods for Risk Management -- Risk and Computation -- Extreme Value Importance Sampling for Rare Event Risk Measurement -- A Note on the Numerical Evaluation of the Hartman-Watson Density and Distribution Function -- Computation of Copulas by Fourier Methods -- Part V Dependence Modelling -- Goodness-of-fit Tests for Archimedean Copulas in High Dimensions -- Duality in Risk Aggregation -- Some Consequences of the Markov Kernel Perspective of Copulas -- Copula Representations for Invariant Dependence Functions -- Nonparametric Copula Density Estimation Using a Petrov-Galerkin Projection.…”
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इलेक्ट्रोनिक ई-पुस्तक -
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Principles of Finance
प्रकाशित 2022विषय - सूची: “…Time Value of Money II: Equal Multiple Payments -- Why It Matters -- 8.1 Perpetuities -- 8.2 Annuities -- 8.3 Loan Amortization -- 8.4 Stated versus Effective Rates -- 8.5 Equal Payments with a Financial Calculator and Excel -- Summary -- Key Terms -- CFA Institute -- Multiple Choice -- Problems -- Video Activity -- Chapter 9. …”
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इलेक्ट्रोनिक ई-पुस्तक -
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