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Actuarial Mathematics for Life Contingent Risks (Third edition)

Part of the International Series on Actuarial Science series
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The substantially updated third edition of the popular Actuarial Mathematics for Life Contingent Risks is suitable for advanced undergraduate and graduate students of actuarial science, for trainee actuaries preparing for professional actuarial examinations, and for life insurance practitioners who wish to increase or update their technical knowledge.

The authors provide intuitive explanations alongside mathematical theory, equipping readers to understand the material in sufficient depth to apply it in real-world situations and to adapt their results in a changing insurance environment.

Topics include modern actuarial paradigms, such as multiple state models, cash-flow projection methods and option theory, all of which are required for managing the increasingly complex range of contemporary long-term insurance products.

Numerous exam-style questions allow readers to prepare for traditional professional actuarial exams, and extensive use of Excel ensures that readers are ready for modern, Excel-based exams and for the actuarial work environment.

The Solutions Manual (ISBN 9781108747615), available for separate purchase, provides detailed solutions to the text's exercises.

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Product Details
Cambridge University Press
1108787401 / 9781108787406
eBook (Adobe Pdf)
368.01
12/01/2022
United States
English
782 pages
Copy: 10%; print: 10%
Previous edition issued in print: 2013 Description based on CIP data; resource not viewed.