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Pricing Insurance Risk: Theory and Practice
Pricing Insurance Risk: Theory and Practice
Pricing Insurance Risk: Theory and Practice - Image 2

Pricing Insurance Risk: Theory and Practice

by Stephen J. Mildenhall (Author), John A. Major (Author)
★★★★★
★★★★★

4.1|11 ratings

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FREE delivery Monday, June 30 Or fastest delivery Saturday, June 28. Order within 3 hrs 32 mins
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PRICING INSURANCE RISKA comprehensive framework for measuring, valuing, and managing risk Pricing Insurance Risk: Theory and Practice delivers an accessible and authoritative account of how to determine the premium for a portfolio of non-hedgeable insurance risks and how to allocate it fairly to each portfolio component. The authors synthesize hundreds of academic research papers, bringing to light little-appreciated answers to fundamental questions about the relationships between insurance risk, capital, and premium. They lean on their industry experience throughout to connect the theory to real-world practice, such as assessing the performance of business units, evaluating risk transfer options, and optimizing portfolio mix. Readers will discover: Definitions, classifications, and specifications of riskAn in-depth treatment of classical risk measures and premium calculation principlesProperties of risk measures and their visualizationA logical framework for spectral and coherent risk measuresHow risk measures for capital and pricing are distinct but interactWhy the cost of capital, not capital itself, should be allocatedThe natural allocation method and how it unifies marginal and risk-adjusted probability approachesApplications to reserve risk, reinsurance, asset risk, franchise value, and portfolio optimizationPerfect for actuaries working in the non-life or general insurance and reinsurance sectors, Pricing Insurance Risk: Theory and Practice is also an indispensable resource for banking and finance professionals, as well as risk management professionals seeking insight into measuring the value of their efforts to mitigate, transfer, or bear nonsystematic risk. Read more

Product Information

PublisherWiley
Publication dateJune 15 2022
Edition1st
LanguageEnglish
Print length560 pages
ISBN-101119755670
ISBN-13978-1119755678
Item weight1.09 kg
Dimensions19.56 x 3.3 x 23.88 cm
Part of seriesWiley Series in Probability and Statistics
Best Sellers Rank#479,304 in Books (See Top 100 in Books) #40 in Pricing #41 in Pricing Management #56 in Risk Management
Customer Reviews4.1 4.1 out of 5 stars 11 ratings

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