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1

Cipra, Tomas. Financial and insurance formulas. Heidelberg: Physica-Verlag, 2010.

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2

Ottaviani, G. Financial Risk in Insurance. Berlin, Heidelberg: Springer Berlin Heidelberg, 2000.

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3

Advanced financial modelling. Berlin: Walter de Gruyter, 2009.

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4

Ruckman, Chris. Financial mathematics: A practical guide for actuaries and other business professionals. Weatogue, CT: BPP Professional Education, 2004.

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5

1965-, Francis Joe, and BPP Professional Education, eds. Financial mathematics: A practical guide for actuaries and other business professionals. 2nd ed. Weatogue, CT: BPP Professional Education, 2005.

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6

Wüthrich, Mario V. Financial Modeling, Actuarial Valuation and Solvency in Insurance. Berlin, Heidelberg: Springer Berlin Heidelberg, 2013.

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7

Olivieri, Annamaria. Introduction to insurance mathematics: Technical and financial features of risk transfers. Berlin: Springer Verlag, 2011.

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8

Ser-Huang, Poon, and Rockinger Michael, eds. Financial Modeling Under Non-Gaussian Distributions. London: Springer London, 2007.

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9

1946-, Herzog Thomas N., and London Richard L, eds. Models for quantifying risk. 3rd ed. Winsted, Conn: ACTEX Publications, 2008.

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10

1950-, Duncan Ian G., Camilli Stephen J. 1976-, and Cunningham Robin J. 1965-, eds. Models for quantifying risk. Winsted, CT: ACTEX Publications, 2014.

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11

1946-, Herzog Thomas N., and London Richard L, eds. Models for quantifying risk. 4th ed. Winsted, CT: ACTEX Publications, 2011.

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12

1946-, Herzog Thomas N., and London Richard L, eds. Models for quantifying risk. Winsted, CT: ACTEX Publications, Inc., 2012.

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13

Cunningham, Robin J. Models for quantifying risk. 2nd ed. Winsted, Conn: ACTEX Publications, 2006.

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14

Pascucci, Andrea, and Wolfgang J. Runggaldier. Financial Mathematics. Milano: Springer Milan, 2012. http://dx.doi.org/10.1007/978-88-470-2538-7.

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15

Biais, Bruno, Thomas Björk, Jakša Cvitanić, Nicole El Karoui, Elyés Jouini, and Jean Charles Rochet. Financial Mathematics. Edited by Wolfgang J. Runggaldier. Berlin, Heidelberg: Springer Berlin Heidelberg, 1997. http://dx.doi.org/10.1007/bfb0091997.

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16

Luderer, Bernd. Classical Financial Mathematics. Wiesbaden: Springer Fachmedien Wiesbaden, 2021. http://dx.doi.org/10.1007/978-3-658-32038-6.

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17

1944-, Kopp P. E., ed. Mathematics of financial markets. New York: Springer, 1999.

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18

Jackson, T. Financial mathematics and statistics. London: Checkmate, 1986.

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19

Ruttiens, Alain. Mathematics of Financial Markets. Chichester, UK: John Wiley & Sons Ltd, 2013. http://dx.doi.org/10.1002/9781118818510.

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20

Elliott, Robert J., and P. Ekkehard Kopp. Mathematics of Financial Markets. New York, NY: Springer New York, 1999. http://dx.doi.org/10.1007/978-1-4757-7146-6.

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21

Financial and actuarial statistics: An introduction. New York: Marcel Dekker, 2003.

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22

Financial market analytics. Westport, Conn: Quorum Books, 1999.

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23

D'Arcy, Stephen P. The financial theory of pricing property-liability insurance contracts. Philadelphia: S.S. Huebner Foundation for Insurance Education, 1988.

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24

Sgroi, Richard. Financial Algebra: Advanced algebra with financial applications. Mason, OH: South-Western Cengage Learning, 2014.

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25

N, Makarov Roman, ed. Financial mathematics: A comprehensive treatment. Boca Raton: CRC Press, 2014.

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26

Cartledge, Peter C. A handbook of financial mathematics. London: Euromoney Books, 1992.

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27

Cartledge, Peter C. The handbook of financial mathematics. 3rd ed. London: Euromoney Books, 2000.

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28

Lee, Cheng-Few, Hong-Yi Chen, and John Lee. Financial Econometrics, Mathematics and Statistics. New York, NY: Springer New York, 2019. http://dx.doi.org/10.1007/978-1-4939-9429-8.

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29

Carr, Peter, and Qiji Jim Zhu. Convex Duality and Financial Mathematics. Cham: Springer International Publishing, 2018. http://dx.doi.org/10.1007/978-3-319-92492-2.

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30

Elementary calculus of financial mathematics. Philadelphia: Society for Industrial and Applied Mathematics, 2009.

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31

Savard, Annie, and Alexandre Cavalcante, eds. Financial Numeracy in Mathematics Education. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-73588-3.

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32

Goetzmann, William N. Fibonacci and the financial revolution. Cambridge, MA: National Bureau of Economic Research, 2004.

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33

Eichengreen, Barry J. Insurance underwriter or financial development fund: What role for reserve pooling in Latin America? Cambridge, Mass: National Bureau of Economic Research, 2006.

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34

An undergraduate introduction to financial mathematics. 2nd ed. Singapore: World Scientific, 2008.

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35

Baz, Jamil. Financial derivatives: Pricing, applications, and mathematics. Cambridge, UK: Cambridge University Press, 2003.

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36

Chan, Raymond H., Yves ZY Guo, Spike T. Lee, and Xun Li. Financial Mathematics, Derivatives and Structured Products. Singapore: Springer Singapore, 2019. http://dx.doi.org/10.1007/978-981-13-3696-6.

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37

Stojanovic, Srdjan. Computational Financial Mathematics using MATHEMATICA®. Boston, MA: Birkhäuser Boston, 2003. http://dx.doi.org/10.1007/978-1-4612-0043-7.

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38

Mathematics of Financial Obligations (Translations of Mathematical Monographs). American Mathematical Society, 2002.

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39

Cipra, Tomas. Financial and Insurance Formulas. Physica, 2010.

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40

Garrett, Stephen. Introduction to Actuarial and Financial Mathematical Methods. Elsevier Science & Technology Books, 2015.

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41

FINANCIAL AND ACTURIAL STATISTICS: AN INTRODUCTION. CRC PRESS, 2014.

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42

Financial Mathematics: A Practical Guide for Actuaries and Other Business Professionals. Not Avail, 2005.

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43

Kaminsky, Kenneth. Financial Literacy: Introduction to the Mathematics of Interest, Annuities, and Insurance. University Press of America, Incorporated, 2010.

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44

Kaminsky, Kenneth. Financial Literacy: Introduction to the Mathematics of Interest, Annuities, and Insurance. University Press of America, 2003.

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45

F, Renn D., ed. Life, death and money: Actuaries and the creation of financial security. Oxford: Blackwell Publishers, 1998.

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46

Jondeau, Eric, Michael Rockinger, and Ser Huang Poon. Financial Modeling Under Non-Gaussian Distributions. Springer London, 2010.

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47

Monte Carlo Simulation of Financial and Actuarial Models. CRC, 2009.

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48

Models for Quantifying Risk. 2nd ed. ACTEX Publications, 2006.

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49

Solutions Manual for Financial Literacy: Introduction to the Mathematics of Interest, Annuities, and Insurance. University Press of America, 2003.

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50

Insurance solvency and financial strength. Helsinki: Finnish Insurance Training and Pub. Co., 1989.

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