This textbook provides a broad overview of the present state of insurance mathematics and some related topics in Risk management, financial mathematics and probability.
Aimed at the Graduate level, pointing in part to current research topics, it can potentially replace other textbooks on basic non-life insurance mathematics and advanced Risk manag.
The emphasis is on probability and modeling rather than statistics and practical implementation.
Both non-life and life aspects are covered.
This textbook provides a broad overview of the present state of insurance mathematics and some related topics in Risk management, financial mathematics and probability