Modeling the future value distribution of a life insurance portfolio
Year of publication: |
2021
|
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Authors: | Costabile, Massimo ; Viviano, Fabio |
Subject: | GB2 | LSMC | metamodel | regression models | Solvency II | Lebensversicherung | Life insurance | Theorie | Theory | Regressionsanalyse | Regression analysis | Portfolio-Management | Portfolio selection | Risikomodell | Risk model | Statistische Verteilung | Statistical distribution |
Type of publication: | Article |
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Type of publication (narrower categories): | Aufsatz in Zeitschrift ; Article in journal |
Language: | English |
Other identifiers: | 10.3390/risks9100177 [DOI] hdl:10419/258261 [Handle] |
Classification: | G22 - Insurance; Insurance Companies |
Source: | ECONIS - Online Catalogue of the ZBW |
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