共4个压缩文件
Thisbookaimstogiveacompleteandself-containedpresentationofsemi-
Markovmodelswithfinitelymanystates,inviewofsolvingreallifeproblemsof
riskmanagementinthreemainfields:Finance,InsuranceandReliability
providingausefulcomplementtoourfirstbook(JanssenandManca(2006))
whichgivesatheoreticalpresentationofsemi-Markovtheory.However,tohelp
assurethebookisself-contained,thefirstthreechaptersprovideasummaryof
thebasictoolsonsemi-Markovtheorythatthereaderwillneedtounderstandour
presentation.Formoredetails,wereferthereadertoourfirstbook(Janssenand
Manca(2006))whosenotations,definitionsandresultshavebeenusedinthese
fourfirstchapters.
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