Books on the topic 'Évaluation du risque – Modèles mathématiques'
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Björklund, Niklas. Source or sink stands: Can stand parameters be used to predict mountain pine beetle brood production with enough precision to be useful for assigning treatment priorities? Pacific Forestry Centre, 2008.
Find full textRobertson, C. Preliminary risk rating for mountain pine beetle infestation of lodgepole pine forests over large areas with ordinal regression modelling. Pacific Forestry Centre, 2009.
Find full textBalkema, Guus. High Risk Scenarios and Extremes: A geometric approach. European Mathematical Society Publishing House, 2007.
Find full textRunzer, K. Temporal composition and structure of post-beetle lodgepole pine stands: Regeneration, growth, economics and harvest implications. Pacific Forestry Centre, 2008.
Find full textRosiers, François Des. Composition du panier résidentiel et segmentation du marché: Le cas de Québec. Société canadienne d'hypothèques et de logement, 1992.
Find full textBouchaud, Jean-Philippe. Théorie des risques financiers: Portefeuilles, options et risques majeurs. Commissariat à l'énergie atomique, 1997.
Find full textThe project risk maturity model: Measuring and improving risk management capability. Gower, 2011.
Find full textRisk adjustment for measuring health care outcomes. 4th ed. Health Administration Press, 2012.
Find full textQ, Zhu X., ed. Damage models and algorithms for assessment of structures under operating conditions. CRC Press, 2009.
Find full textFinancial risk management with Bayesian estimation of GARCH models: Theory and applications. Springer, 2008.
Find full textJ. F. J. de Munnik. The valuation of interest rate derivative securities =: De waardering van rente-afhankelijke instrumenten. Thesis Publishers, 1992.
Find full textDay, Alastair L. Mastering risk modelling: A practical guide to modelling uncertainty with Microsoft Excel. 2nd ed. Pearson Prentice Hall, 2008.
Find full textMastering risk modelling: A practical guide to modelling uncertainty with Excel. FT Prentice Hall, 2003.
Find full textRacicot, François-Éric. Finance computationnelle et gestion des risques: Ingénierie financière avec applications Excel (Visual Basic) et Matlab. Presses de l'Université du Québec, 2006.
Find full text1948-, Watanabe Tadashi, ed. Chikyū ondankaron no uso to wana: Shijō saiaku no kagaku sukyandaru = Lies and traps in "global warming affairs". Besutoserāzu, 2008.
Find full text1939-, Schmeidler David, and Gilboa Itzhak, eds. Uncertainty in economic theory: Essays in honor of David Schmeidler's 65th birthday. Routledge, 2004.
Find full textTetsuya, Ishida, and Kishi Toshiharu 1955-, eds. Multi-scale modelling of structural concrete. Taylor & Francis, 2008.
Find full textPrescribing hemodialysis: A guide to urea modeling. Kluwer Academic Publishers, 1991.
Find full textNikolaus, Hautsch, Overbeck Ludger, and SpringerLink (Online service), eds. Applied Quantitative Finance. 2nd ed. Springer Berlin Heidelberg, 2008.
Find full textKādera, Mirjā Ema Manirula, and Ahmad Qazi Kholiquzzaman 1943-, eds. Climate change and water resources in South Asia. A.A. Balkema, 2005.
Find full textM, Morris E., and International Association of Hydrological Sciences., eds. Modelling snowmelt-induced processes. International Association of Hydrological Sciences, 1986.
Find full textChakraverty, S., H. O. W. Peiris, S. S. N. Perera, and S. M. W. Ranwala. Modeling Invasive Alien Plant Species: Fuzzy-Based Uncertainty. Taylor & Francis Group, 2021.
Find full textChakraverty, S., H. O. W. Peiris, S. S. N. Perera, and S. M. W. Ranwala. Modeling Invasive Alien Plant Species: Fuzzy-Based Uncertainty. Taylor & Francis Group, 2021.
Find full textYan, Jun, and Dipak Dey. Extreme Value Modeling and Risk Analysis. Taylor & Francis Group, 2020.
Find full textDey, Dipak K., and Jun Yan. Extreme Value Modeling and Risk Analysis: Methods and Applications. Taylor & Francis Group, 2016.
Find full textDey, Dipak K., and Jun Yan. Extreme Value Modeling and Risk Analysis: Methods and Applications. Taylor & Francis Group, 2016.
Find full textSchoutens, Wim, and Dilip B. Madan. Nonlinear Valuation and Non-Gaussian Risks in Finance. Cambridge University Press, 2022.
Find full textTheodore, Louis. Environmental Risk Analysis: Probability Distribution Calculations. Taylor & Francis Group, 2015.
Find full textTheodore, Louis. Environmental Risk Analysis: Probability Distribution Calculations. Taylor & Francis Group, 2015.
Find full text(Editor), Keith R. Solomon, Theo C.M. Brock (Editor), Dick De Zwart (Editor), et al., eds. Extrapolation Practice for Ecotoxicological Effect Characterization of Chemicals. CRC, 2008.
Find full textHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Find full textHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Find full textQuantitative Enterprise Risk Management. University of Cambridge ESOL Examinations, 2022.
Find full textHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Find full textMathematical Methods in Risk Theory. (Grundlehren der mathematischen Wissenschaften). Springer, 2005.
Find full textMathematical Methods in Risk Theory (Grundlehren der mathematischen Wissenschaften). Springer, 1996.
Find full textFranzetti, Claudio. Operational Risk Modelling and Management. Taylor & Francis Group, 2016.
Find full textFranzetti, Claudio. Operational Risk Modelling and Management. Taylor & Francis Group, 2016.
Find full textFranzetti, Claudio. Operational Risk Modelling and Management. Taylor & Francis Group, 2017.
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