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Book Categories |
Introduction | ||
Ch. 1 | Investment Guarantees | 1 |
Ch. 2 | Modeling Long-Term Stock Returns | 15 |
Ch. 3 | Maximum Likelihood Estimation for Stock Return Models | 47 |
Ch. 4 | The Left-Tail Calibration Method | 65 |
Ch. 5 | Markov Chain Monte Carlo (MCMC) Estimation | 77 |
Ch. 6 | Modeling the Guarantee Liability | 95 |
Ch. 7 | A Review of Option Pricing Theory | 115 |
Ch. 8 | Dynamic Hedging for Separate Account Guarantees | 133 |
Ch. 9 | Risk Measures | 157 |
Ch. 10 | Emerging Cost Analysis | 177 |
Ch. 11 | Forecast Uncertainty | 195 |
Ch. 12 | Guaranteed Annuity Options | 221 |
Ch. 13 | Equity-Indexed Annuities | 237 |
App. A | Mortality and Survival Probabilities | 265 |
App. B | The GMAB Option Price | 271 |
App. C | Actuarial Notation | 273 |
References | 275 | |
Index | 281 |
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Add Investment Guarantees: Modeling and Risk Management for Equity-Linked Life Insurance, Praise for InvestmentGuarantees In addition to being a valuable and innovative addition to the literature on risk management of equity-linked insurance, this book provides a uniquely clear demonstration of using different measures in a very practical , Investment Guarantees: Modeling and Risk Management for Equity-Linked Life Insurance to the inventory that you are selling on WonderClubX
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Add Investment Guarantees: Modeling and Risk Management for Equity-Linked Life Insurance, Praise for InvestmentGuarantees In addition to being a valuable and innovative addition to the literature on risk management of equity-linked insurance, this book provides a uniquely clear demonstration of using different measures in a very practical , Investment Guarantees: Modeling and Risk Management for Equity-Linked Life Insurance to your collection on WonderClub |