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Semi-Markov risk models for finance, insurance and reliability

By: Janssen Jacques.
Contributor(s): Manca Raimondo [Auth.].
Material type: TextTextPublisher: New York Springer-Verlag 2007Description: xvii,429p.ISBN: 978-0-387-70729-7.Subject(s): Applied statistics | Financial risk | Markov processes | Mathematical models | Risk | Risk (Insurance)DDC classification: 000SB:332
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Item type Current location Call number Status Date due Barcode Item holds
Books Books ISI Library, Kolkata
000SB:332 J35 (Browse shelf) Available 128017
Total holds: 0

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